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Accounting Transactions: Assign cheque numbers to payment transactions

Print Cheques

Updated over 2 months ago

To assign cheque numbers to the payment transaction:

  1. Go to Reports, View Ledgers.

  2. Select period and account no., and OK.

  3. Double-click on the payment transactions and save.

  4. Go to Reports, More Reports (1).

  5. Print Cheque, Select the correct Period and Cheque No., OK.

Note: Each cheque number can only be used for one account. Do not reuse the same cheque number across multiple accounts.

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