Payment

Manage payment batches and record payment transactions against Chart of Accounts.

Table of Contents

  1. 1. Overview
    1. Navigation
  2. 2. Payment Batch
    1. Action Buttons (Per Row)
  3. 3. Creating a New Payment Batch
    1. Batch Form Fields
  4. 4. Viewing the Payment List
  5. 5. Creating a New Payment
    1. Payment Form Fields
    2. Payment For β€” Reference Types
  6. 6. Saving and Printing
  7. 7. Related Modules

1. Overview

The Payment module allows authorized users to manage payment batches and record payment transactions against Chart of Accounts entries.

πŸ“ Path: Bank/Cash β†’ Payment Bank/Cash β†’ Receive


2. Payment Batch

Receive Batch List

When you navigate to Payment, the system displays a list of all existing payment batches.

Action Buttons (Per Row)

Button Colour Function
Show Blue Opens the batch and displays all associated payment records.
Edit Yellow / Orange Opens the batch edit modal pre-filled with existing values.
Delete Red Permanently removes the batch after confirmation.

3. Creating a New Payment Batch

Receive Batch

Click the green β€œNew Payment Batch Receive Batch” button in the top-right corner.

Batch Form Fields

Field Required? Description
Batch Name Yes * Descriptive name for the payment batch.
Transaction Type Yes * Select the transaction type applicable to this batch.
Is Lock No Toggle to lock the batch β€” no further payments can be added or modified when locked.

πŸ’‘ Use Is Lock to close a batch once all payments are finalised. This prevents accidental modifications to completed periods.


4. Viewing the Payment List

Click Show on any batch row to open it and display all associated payment records. The New Payment button inside automatically links any new payment to the current batch.


5. Creating a New Payment

Click New Payment to open the payment creation form.

Payment Form Fields

Field Description
Payment ID Auto-generated. Shows β€œNew” when creating.
Payment Date Date of the payment transaction.
Payment Batch Auto-selected from the batch. Read-only.
Transaction Type Auto-selected from the batch. Read-only.
Financial Year & Period Auto-populated based on the payment date. Read-only.
Bank Account Select the bank account for this payment.
Amount Enter the payment amount.
Remarks Notes or particulars for this payment.
Payment For Reference type β€” controls additional fields shown.

Payment For β€” Reference Types

  • Other β€” no additional fields.
  • PO, GRN, Employee, Customer, or Supplier β€” displays a reference selection field.

6. Saving and Printing

Click Submit to save the payment. After saving, Print and Update options become available. Click Close to return to the list.


Module Relationship
Chart of Accounts Each payment is posted to a GL account.
Financial Year The payment date determines the financial year and period.
General Ledger Payment transactions post to the General Ledger.

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