A step-by-step guide to operate business better with OCLite
ONLINE ONBOARDING
#OCLITELEVELUP
Global Configuration
How Do I Change My Username, Email, or Password?
How Do I Manage Locations in OfficeCentral?
How to Add, Remove & Replace Users?
How to Manage Company’s Information?
How to Manage Public Holidays?
How to Register and Log In to OfficeCentral?
How to Set User Access in OfficeCentral? (Assign Roles)
How to Manage Company Bank Account?
What Should I Do If I Forgot My Password?
HRMS
1.1 HRMS Configurations – Manage Department
1.2 HRMS Configurations – Manage Designation
1.3 HRMS Configurations – Manage Job Classifications
1.4 HRMS Configurations – Manage Approvers
2.1 Staff Management – How to Add New Staff?
2.2 Staff Management – How to Edit Staff’s Information?
2.3 Staff Management – Resign, Deactivate, Suspend & Unassign
3.1.1 Leave Setup – Step 1: Define Leave Types
3.1.2 Leave Setup – Step 2: Leave Entitlement Defaults
3.1.3 Leave Setup – Step 3: Process Leave Entitlements
3.2.1How to Manage/Approve Leave Application for Staff (HR / Admin)
Payroll
Pricebook
CRM
Accounting
1.0 Accounting Configurations – Wizards
1.1 Accounting Configurations – Accounting Period
1.2 Accounting Configurations – Reference Number
2.0 Understanding Chart of Accounts
3.0 How to Create and Manage Customer (Debtor)
3.1 How to Create and Manage Invoice
3.2 How to Create and Manage Receipt (Receive Payment)
3.3 How to Create and Manage Credit Note
3.4 How to Create and Manage Debit Note
4.0 How to Create and Manage Supplier (Creditor)
4.1 How to Create and Manage Receive Invoice
4.2 How to Create and Manage Self-Billed Invoice
4.3 How to Create and Manage Payment (Issue Payment / Payment Voucher)
4.4 How to Create and Manage Received Credit Note
How to Create and Manage Supplier (Creditor)
This guide explains how to create and manage supplier accounts (Creditors) in OfficeCentral Accounting.
Creating a creditor is mandatory before recording receive invoices or issue payments.
Where to Access Accounting

How to Create a New Supplier / Creditor
Step 1: Access the Create Function
-
Go to Accounting > Expenses > Creditor > Add New
Use the screenshot below to locate these buttons.
Step 2: Fill in Account Information
| Field | Description |
|---|---|
| Registration Number | Supplier / Company registration number |
| Account Type * | Usually set as Supplier |
| Name * | Full supplier/company name |
Step 3: Fill in LHDN e-Invoicing Information
| Field | Description |
|---|---|
| Registration Type | Default: Other |
| TIN | Tax Identification Number from LHDN (without space) |
| New Registration Number (For e-Invoicing use only!) |
Make sure to use NEW Registration Number |
| Account MSIC Code (if applicable) | Optional |
? Detailed e-Invoice instructions are covered in a separate article.
Step 4: Fill in Contact Information
| Field | Description |
|---|---|
| Street 1 & 2 | Supplier address |
| Postcode | Postal code |
| City / State / Country | Location details |
| Phone | Include country code |
| Fax | Optional |
| For sending invoices (OC credit chargeable) |
Step 5: Fill in Bank Information
| Field | Description |
|---|---|
| Payable To | Name of account holder for payments |
| Bank Name | Supplier’s bank |
| Bank Account No | Supplier’s bank account number |
Step 6: Fill in SST Information
| Field | Description |
|---|---|
| SST No | SST registration number |
| Date SST Verified | Date SST number was verified |
Step 7: Fill in Optional E-Invoicing Payment Information
| Field | Description |
|---|---|
| Payable To | Optional alternate bank account for e-invoicing payments |
| Bank Name | Optional |
| Bank Account No | Optional |
Step 8: Fill in Other Information (MUST)
| Field | Description |
|---|---|
| Location * | Choose location for financial report. OC Lite users: limited to headquarters only |
| Map To Chart of Account * | Map this customer to Debtors in Chart of Accounts. Please refer image below |
Step 9: Save the Supplier
-
Review all details
-
Click Submit at the top of the page
How to View Supplier / Creditor Details
-
Go to Accounting > Expenses > Creditor > View List
-
Search supplier name
-
Click on “Click here to edit Account”
Note: In View list page, user can also access customer’s / debtor’s transaction info (General Ledger, Account Statement, Statement of Account, Debtor Statement)
How to Edit Supplier / Creditor
- Go to Accounting > Expenses > Creditor > View List
- Search supplier name
- Click on “Click here to edit Account”
- Make necessary modification
- Click Save
⚠️ Important Notes
-
Map the customer correctly to Creditor Chart of Accounts for accurate financial reporting


