摘要 |
PURPOSE:To instantaneously erase an account payable allocation data displayed on an input screen by inputting erasing data to an input column corresponding to each of the allocation data. CONSTITUTION:While observing the account payable detail data of a specified transaction customer displayed on the screen of a display 2 and visually checking a payment request slip issued by a materials section, an operator checks each of account payable detail data and outputs a payment erasing instruction for data to be erased. In the erased account payable detail data, a transaction customer master 7 is referred, and after setting up a payment condition, journalizing processing based upon automatic journalizing is executed. An accounting slip 7 based upon journalized and formed accounting slip data is issued and allocated to a financial accounting data base 10. Then regular erasing for the paid debt detail data is executed by the allocated payment data and registered as regular erasing data. |