CherryMoney Step Lesson
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Payments Guide ยท Step 2 of 5

Open payment action

Use the payment action on the invoice or open Manage Payments.

cherrybank.money/payments/open-payment-action
Step 2 screenshot

Open payment action

Use the payment action on the invoice or open Manage Payments.

Detailed Instructions

This page expands the selected step into a full training lesson. Read it once, then perform the action in CherryMoney.

What to do

Use the payment action on the invoice or open Manage Payments.

Before you start
  • Make sure you are signed in to the correct CherryMoney organisation.
  • Check your user role has access to this area.
  • Keep the source information ready before saving the record.
How to complete it
  • Open the menu area named in the step.
  • Enter the required information carefully.
  • Review the values before clicking save, create, approve or submit.
  • Reopen the record once to confirm it displays correctly.
What success looks like
  • The record is saved without an error message.
  • The item appears in the list, dashboard, report or workflow queue.
  • Any linked VAT, payment, client, expense or compliance fields remain visible after refresh.

Fields To Check

These fields affect this workflow and should be checked before saving.

Amount Reduces the invoice balance.
Payment date Used for cash-flow and reporting periods.
Reference Helps match bank deposits to invoice payments.

Tips

Use these checks if the saved record does not look right.

Tip

Record partial payments as they arrive so invoice status remains truthful.