Previous icon

Next icon

Adding new cash receipts postings

To add a new cash receipts posting before processing payments received:

  1. Select Module > Debtors > Cash Receipts Entry from the main menu.

    The Select Cash Receipts to Process window is displayed.

    Select Cash Receipts to Process window

    Tip: You can use current cash receipts postings by finding the posting and clicking Open button.

  2. Click New Cash Receipts Posting button.

    The New Cash Receipts - Summary information window is displayed.

    New Cash Receipts - Summary Information window

  3. Enter the posting summary information.
  4. Click OK button.

    The Payment Detail tab of the Debtor Cash Receipts Entry window is displayed.

New Cash Receipts - Summary information key fields

Field

Description

Posting Date

Posting date.

Description

Description of the posting.

This is optional but is useful when reviewing past postings.

Control Amount

The total amount entered in the posting's transactions must add up to this value.

This is optional but is a precautionary measure, as you cannot close off a posting if the sum of transactions does not equal this.

Bank Account

The bank account that the cash receipts will be deposited to.

Last modified: 23/09/2014 4:18:10 PM

See Also

Entering cash receipts

Debtor Cash Receipts Entry - Payment Detail tab

Debtor Cash Receipts Entry - Fees tab

Debtor Cash Receipts Entry - G/L Allocations tab

Cash Receipts Entry - Posting Action

Processing cheques

Processing over the counter payments

Selecting existing cash receipts postings

Entering payments against individual transactions

Putting a debtor in credit

Processing dishonoured cheques

Modifying reconciled receipts

© 2017 Synergetic Management Systems. Published 20 July 2017.

Top of page