SJB Academy
آخر تحديث:
05 يوليو, 2026
تم الانتهاء
Languages & localization
3 المشاهدات •Create a quotation
3 المشاهدات •POS Setup
3 المشاهدات •Purchase Return
2 المشاهدات •Apps & dashboards
2 المشاهدات •Product categories
1 المشاهدات •Units of measure
1 المشاهدات •Add a ZATCA-compliant customer
1 المشاهدات •Returns & Credit Notes
1 المشاهدات •Simplified B2C invoice
1 المشاهدات •Journal Entries
1 المشاهدات •Bank Reconciliation
1 المشاهدات •Partner statements & aging
0 المشاهدات •Warehouses & locations
1 المشاهدات •Add a vendor
1 المشاهدات •POS Accounting & Invoicing Integration
1 المشاهدات •Product variants & barcodes
1 المشاهدات •Pricelists
1 المشاهدات •Profit & Loss Report
1 المشاهدات •Lots/Serials & Expiry Tracking
1 المشاهدات •Partner statements & aging
Produce a statement for each customer or vendor and an aging report to track overdue balances and manage collections.
Path: Accounting ← Reporting ← Aged Receivable / Aged Payable
- From Reporting choose Aged Receivable for customers or Aged Payable for vendors.
- Set the As of Date at the top to show balances up to a specific date.
- Read the time buckets: Not Due, 0–30, 31–60, 61–90, Older than 90 days to see how old each overdue amount is.
- Click a partner name to expand its lines and see which specific invoices make up the balance.
- For a single customer statement, open the customer's Accounting tab and use the Follow-up Report, then email it.
- From Accounting ← Customers ← Follow-up Reports, review overdue customers that need reminders.
- For each overdue customer pick the appropriate reminder level and click Send by Email or Print.
- Export via the Excel/PDF icon to share with management or file for tracking.
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