Here's how to add a new batch of Accounts Payable vendor bills.
From the Lynx Main Menu . . .
1. Left-click on Bookkeeping.
2. A drop down menu will appear.
3. Left-click on Accounts Payable.
4. Left-click on Add a Batch of Vendor Bills.
5. This will display a new Enter Vendor Bills window.
6. The new batch number will be displayed in blue in the lower right part of the window.
7. Make sure all of the information on this window is correct:
text box.
to select the
employee who is entering the transactions into this batch. If the employee does not show up on the
drop-down list, use the Add an Employee procedure to
add them.
Note: This date MUST be a date within the Period selected unless you have this turned off in Invoicing Preferences. However, it is strongly suggested that you leave Date Error Checking turned ON.
It is VERY IMPORTANT that these dates and selections are accurate. Once you start entering transactions into this batch, you will not be able to go back and change them. Review the help on How the System Handles Bookkeeping Dates to be sure you understand how these dates work.
8. If you want to enter bills to this batch at this time, left-click on the
tab. If you need help on how to do this,
go to Enter Vendor Bills