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Journal Entry

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Upon successful disbursement, the system automatically generates and records the following journal entries:

1. Voucher Payment

Bank Transfer:

  • Debit: Expense Account (700001)
  • Credit: Suspense Account (161999)

Cash Disbursement:

  • Debit: Expense Account (700001)
  • Credit:
    • Cash Account (100001) - USD
    • Cash Account (100002) - LAK
    • Cash Account (100003) - THB
2. Advance Creation

Bank Transfer:

  • Debit: Advance to Staff Account (160003)
  • Credit: Suspense Account (161999)

Cash Disbursement:

  • Debit: Advance to Staff Account (160003)
  • Credit:
    • Cash Account (100001) - USD
    • Cash Account (100002) - LAK
    • Cash Account (100003) - THB

These journal entries are accessible and can be reviewed on the Journal Entry page within the system.