Dr. Account Payable xxx
Cr. Cash xxx
- Inventory POS
Each month staff accountant will print report sale POS summary report each supplier. Cash payment is payment by cash transferred by bank (Auto payment). Then accountant will stamp Paid in document .After cash payment, accounting department record cash payment by match with invoice which had to record already. GL record is prepared by;
Dr. Account Payable xxx
Cr. Cash xxx
Note
- Accounting software was AS400 which was applied for The mall Group.