Here are the steps for Cash Sales Transaction. To learn more, you can also watch this RELY Online tutorial video:



Cash Sales Transaction


For Cash Sales Transaction, select the desired company.


1. Go to Transaction > Sale and press Enter key.


2. List of day-books will be displayed, select the day-book in which you want to do Cash Sales Transaction and press Enter key.


3. Entry form for the selected daybook will open. Enter date and document number.


4. In Account, press F4 key and select Cash Sales account from the list of accounts displayed.


5. In Item entry section, select the item and then directly enter the amount. Fill in the other details.


6. Once all the details are entered, click on Save button.


7. This is how you can do Cash Sales transaction in Rely.