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FREQUENTLY
ASKED QUESTIONS |
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| 1. |
Why
Relyon's Petty Cash? ?
'PETTY' is derived from the French Word 'Petit'
which means small. A Petty Cash™ book
is a subsidiary cash book for recording petty
(small) expenses. In every business, there
are bound to be certain petty payments, which
are required to be paid in Cash and not by
cheques. A reason is that a large number of
petty payments are recorded in the main Account,
it will become bulky and awkward. Hence the
solution is Petty Cash™ . |
| 2. |
What
are its special features?
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Easy
and simple to Maintain Day-to-day Petty
Cash? Transactions. |
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Facility
to Maintain and Add-on to List of Regular
Narrations and Receivers. |
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Generation
of Detailed or Summary Statements -
Daily, Weekly, Monthly or In Between
dates. |
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Printing
of Vouchers. |
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Facility
to create any number of Account Heads. |
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Facility
to maintain Multiple Petty Cash? Account. |
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Facility
to transfer the data to Excel Format. |
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| 3. |
To
whom is this Package useful?
This Package is useful for all the Business
Establishments, Accountants, Administrators,
Auditors, Home Users and all the concerns
that handle Cash Transactions. |
| 4. |
What
is the main difference between Relyon's
Petty Cash? Accounting and other Accounting
Packages?
This Package is mainly for maintaining your
day-to-day Petty Cash™ transactions.
The person who handles Petty Cash™
, need not know handling Accounting Package.
Your Accounting Package may be cumbersome
for entering the data of Petty Cash™
transactions separately. Hence, all your
entries can be done in your Petty Cash™
Accounting and a Single Entry can be passed
in your Main Accounting Package. |
| 5. |
Can
we link this Package to our Main Accounting
Package?
It is not possible to link this Package to
your Main Accounting Package. |
| 6. |
Can
we make Receipts and Payments Analysis?
The Package gives the detailed and summarised
Reports on Receipts and Payments Analysis.
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