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Cheque Settlement Payments              Back to Return Cheques        

Add Payment
SR Code Cheque
Recieved Date
Cheque Date Cheque No. Bank Bank Deposit
Date
Deposited
Bank
Cheque
Cleared/RTN
Amount
40,923,965.00
Return
Charge
Net
Amount
Paid Amount Charge
to Employee
Due Amount Outstanding
Days
Invoice Date Invoice No. Route Customer Account Holder Name C/A Account No.
847 2025-10-03 2025-10-16 001480 Amana 2025-10-08 NDB 2025-10-17
170,000.00
250.00
170,250.00
170,250.00
-26 days 2025-09-20
Delete Payment Date Payment Type Amount Remarks
2025-10-25 Cash 170250.00