Go to “Accounts” >> “Bill Settlement”
Click “Pay”
Choose the Supplier “Ledger”
Enter the Amount
Enter the “Cheque Number” in the “Instrument No”
Click “Settle” Bill
Go to “Accounts” >> “Bill Settlement”
Click “Pay”
Choose the Supplier “Ledger”
Enter the Amount
Enter the “Cheque Number” in the “Instrument No”
Click “Settle” Bill
Read more about it here