Bank Transactions

- Project: Selection of related projects is provided.
- Current Account: Selection of the current account associated with the bank transaction is provided.
- Recorded by: Employee-based selection
- Entry/Exit: Entry or exit transaction selection is provided in relation to the transaction category.
- Branch: Branch selection is provided.
- Transaction Type: Transaction type selection created for the bank transactions screen is provided. In order for this selectbox to appear filled, transaction categories must be defined on the Control Panel > BPM > Transaction Categories screen and associated with the Bank module.
- Account: Selection of defined bank accounts is provided. In order for this selectbox to appear filled, account definitions must be made on the ERP > Finance Accounting > Bank Accounts screen.
- Recording Date: Recording date selection is provided.
- Transaction Date:Transaction date selection is provided.
Note: In addition to these, "Filter", "Document Number", "Ascending/Descending Date" and "Account Type (Active/Passive)" You can also increase your listing options via .
Attention: If the "TL Equivalent" checkbox is selected in the filter field on the Listing screen and the search is made by selecting a foreign currency account in the "Bank Account" field, the "Balance" column appears on the listing screen.

Banking Transactions Page Settings/XML Settings:
To view the XML settings on the Banking Transactions screen, click Control Panel > System > Page Settings box. opens.

- Show Subtotals: If "Yes" is selected; At the end of each listing page, totals are displayed cumulatively and in transaction currency.
- Collection/Payment Type can be selected: If "Yes" is selected; Collection/Payment Type selectbox is displayed.
- Project Column Shown: If "Yes" is selected; The project column is shown and does not affect the project popup.
- Show Branch Column: If "Yes" is selected; The branch column is displayed and does not affect the branch popup.
- Let the Expense Amount and the Receivable Appear Together in the Loan Payment: If "Yes" is selected; It allows the expense amount and receivable amount to be seen together in loan payment.
- Viewing Transfers Made by E-Account: If "Yes" is selected; It allows viewing the transfer amounts sent by the e-account regardless of the current account type authority.


You can review our wiki document for the definitions of Bank Transaction Categories.
Note:Bank transactions affect accounting, current account and budget depending on the transaction category. Workcube automatically processes the values in the background according to the operation performed.
Banka İşlemleri ekranı şirketinize ait tüm banka hesaplarındaki hesap açılışı, para yatırma, para çekme, gelen / giden havale, virman gibi işlemlerinizi kaydetmenizi ve takip etmenizi sağlar.
Banka İşlemleri ekranı şirketinize ait tüm banka hesaplarındaki hesap açılışı, para yatırma, para çekme, gelen / giden havale, virman gibi işlemlerinizi kaydetmenizi ve takip etmenizi sağlar.
Gelen Havale
Banka hesabında bulunan bir paranın, Aynı banka içerisindeki diğer hesaptan veya başkasına ait bir hesaptan gelme işlemine gelen havale denir. Gelen havale tekli yapılabildiği gibi toplu olarak da yapılabilir. Gelen havale kayıtları banka işlemler listesine kayıt atarak banka hesap bakiyesini etkiler.
Kaydedilen belgelerin çıktılarının alınması için kullanılır. Standart şablonlar seçilebilir ya da özel şablonlar eklenebilir, ayrıca şablonlar yetkiye bağlanabilir.
Mevcut banka hesaplarını toplu olarak sisteme aktarmak için kullanılır.
Workcube üzerinde banka hesapları tanımlandıktan sonra sistemde bankalar açılır ve ilgili kayıtlarda seçilir. Bu sayede banka hesaplarında bakiyeler takip edilir.
Workcube'de Banka Hesap Açılış; sisteminizde tanımlı olan ya da yeni tanımlanmış banka hesaplarına ait açılış bakiye tutarlarını girmek için kullanılır.
is_total Alt Toplamlar Gösterilsin
x_select_type_info Tahsilat\Ödeme Tipi Seçilebilsin
x_project_info Proje Sütunu Görünsün
x_branch_info Şube Sütunu Görünsün
x_masraf_alacak Kredi Ödemesinde Masraf Tutarı ve Alacak Birlikte Görünsün
x_ehesap_records_show E-Hesap Tarafından Yapılan Havalelerin Görüntülenmesi Cari Hesap Tipi Yetkilerine Göre Çalışır
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2.1.5.18. Foreign Exchange Buying/Selling Transaction
Foreign exchange buying and selling is the screen where transfers are made between bank accounts in the same branch of a bank, both in different currencies and in the same currencies.
2.1.5.10. Deposit and Withdrawal
You can deposit money to the bank and withdraw money from the bank on Workcube.
Incoming Transfer
Incoming Money Order, Money Order, EFT, FAST etc. It is one of the basic financial transactions that ensures accurate and timely recording of transactions into the system.
2.1.5.1. Bank Transaction Categories
Defining bank transaction categories paves the way for the use of the bank module.
Bank
The bank module has a familiar and simple structure. Like other W3 applications that perform monetary transactions, accounting, budget and current records are made simultaneously with the "Transaction Type" settings. Every transaction is recorded in three currencies. Actual transaction costs are recorded as a concurrent expense by selecting a budget item.