CREST

Bookkeeping & Admin Portal 后台管理与记账系统

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© 2026 CREST Bookkeeping Portal · v1.0
CREST
Bookkeeping Service
Tools
Synced with Bukku
SQL data store · JB region
Saturday, 8 Aug 2026

Choose a Company

Search or browse your 50 clients to start working
All companies

Company Home

Select a company · monthly overview
Upload This Month's Transaction Listing
Runs the daily reconciliation and FIFO settlement match, then generates the Bukku Sales & Payment import files.
Past batches
MonthInvoicesExceptionsStatus

Sales Summary

Select a company · Aug 2026
Output file name —
Today's Gross Sales
—
Payment Settled
—
Unsettled Invoices
—
Synced to Bukku
—
—
DateInvoice No.Gross SalesPayment SettledPetty Cash OutBukku Status

Bank Statement

Select a company · current account
DateDescriptionDebitCreditBalanceStatus

Purchases Bill

Select a company · supplier invoices
Invoice No.SupplierAmountDatePayment Status

Claim Bill

Select a company · staff reimbursement claims
Claim No.StaffCategoryAmountDateStatus

Petty Record

Select a company · float log
DateDescriptionInOutBalance

Merchant Report

Select a company · DuitNow / FIUU settlement
Total Transactions
—
Approved Amount
—
Gateway Fees
—
Net Settlement
—
DateTotal TxnsApproved AmtFailed / CancelledGateway FeeNet Settlement

Customer Reconciliation Queue

50 customers · Jul 2026 cycle
Staff workload
CustomerTypeAssigned StaffInput FileOutput FilesStatusUpdated

Staff Approvals

Assignment change requests · up to 2 staff per client
Staff access limits

Max clients each staff member can be assigned, and whether they can currently receive new assignments. Admin-only.

StaffAssigned ClientsClient LimitAccess
Assignment requests
CompanyCurrent StaffRequested StaffRequested ByDateStatus

Activity Log

Audit trail of staff, access, and assignment changes
TimeActorActionTargetDetails

Monthly Reconciliation

DuitNow / FIUU → Bukku import
Viewing — · assigned to —
1 · Upload transaction listing
Drop the TRANSACTION LISTING workbook here, or browse
.xlsx with a transaction-listing sheet + settlement sheet — found by column headers, not sheet name
Bank statement Optional
Cross-checks the gateway's settlement list against what actually hit the bank, and flags any mismatch.
Customer CodeC-C0010
Sales Account5012
Fee Account9006-02
Deposit Account3521-02
Payment MethodUOB 286
TagTD
Invoice PrefixFTD
Receipt PrefixRFTD
2 · Carryover from previous month
1 settlement needs review. 08 Aug 2026 — RM 512.30 doesn't cleanly sum to a prefix of the oldest unpaid invoices (closest running total: RM 500.00, gap RM 12.30). FIFO matching stops here, so every later settlement is waiting on this one too. Possible causes: a transaction missing or miscoded in the export, a cancelled/failed attempt whose fee wasn't accounted for, a manual gateway adjustment, or a genuinely partial settlement. Confirm which invoice(s) it covers before this is forced to match.
Settlements Matched
8
Unresolved
1
Bank-Verified
Not provided
Invoices Issued
23
Daily summary (Aug 2026)

Invoices numbered FTD-2608-DD · receipts numbered RFTD-2608-NN, FIFO-matched against the oldest unpaid invoices

DateInvoice No.Bill AmtTxn FeeFailed/CancelledActual AmtSettlementReceipt No.Status
06 Aug 2026FTD-2608-06RM 1,240.80RM 12.40RM 38.00RM 1,228.40RM 1,228.40RFTD-2608-03Matched
07 Aug 2026FTD-2608-07RM 909.80RM 8.00RM 0.00RM 901.80RM 905.00RFTD-2608-04Matched
08 Aug 2026FTD-2608-08RM 1,246.70RM 12.30RM 24.00RM 1,234.40RM 512.30—Needs Review
Review the daily summary above — the flagged item on 08 Aug needs a decision before the Bukku files are generated.
Output files
SUMMARY.xlsx
24 daily rows · Aug 2026
BUKKU-SALES.xlsx
23 credit invoices ready to import
BUKKU-PAYMENT.xlsx
8 receipts ready to import
carryover_next.json
2 invoices still open into next month
flags.json
1 item needs review

Assign Staff

Select up to 2 staff. Changes need admin approval before they take effect.
You can select up to 2 staff for one client.