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Guides - Processing Day-to-Day Transactions

  • Prepare Bank Deposits
  • Bank Reconciliations
  • Client / Trust Payments & Receipts
  • Disbursements & Cost Recoveries
  • General Ledger
  • Invoicing
  • Office Payments & Receipts
  • Payment & Receipt Requisitions
  • Suppliers & Purchases
  • Statements
  • Work Items
  • Prepare Payments
  • Deposit Accounts/CMA/Investment
  • Register of Power and Estates
  • Client Interest
  • Paying PEXA Disbursements from Client/Trust
  • Protected Funds
  • Billing Rates
  • Year End
  • VAT Return
  • EVE (AI)

Prepare Bank Deposits

1 article

Bank Deposits

Overview Once cash or cheques have been receipted, a bank deposit slip will need to be created to accompany the cash and/or cheques for deposit at the bank. By including the receipts into a ba...

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