Useful Information
This function allows you to record miscellaneous expenditure against a cost centre.
Miscellaneous Expenditure
- Click on the Expenditure tab
- Select Miscellaneous expenditure
- Enter the Details of this transaction, i.e. payee name and reason for the expenditure
- Click the down arrow and select the required Cost centre*
- Select Account codes, if required
- Click to Specify the payment type as Cash, Cheque, Credit/debit or Petty Cash
- To set an Effective date (i.e. to record income, for reporting purposes, as received on a date prior to the current date), tick the Enable box, click the down arrow next to Effective date and select the required date from the displayed calendar.
Important: the income must still be banked in the usual way.
Note: to be able to set an Effective date, a transaction effective date limit must first be set - Enter the Gross amount.
- If required, tick the Vat'able? box to calculate VAT on the gross amount. The VAT element is reported on the relevant Sales Report.
- Click Done
- For Cheques or Credit/debit transactions, enter the payee name in the Payment issued to box
- Enter the school reference in the Enter details/reference box
The Payee name and Reference will appear in the Check bank statement screen for easy identification - Click Done
*if the cost centre does not exist, refer to section To Add a Cost Centre