You use this program to maintain the integrity of data in your Cash Book module, to close the current month and open up a new month for processing your cash book transactions and to delete cash book information that is no longer required in the system.
This is achieved through the following functions:
Field | Description |
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Start Processing | Select this to begin processing the function you selected. |
Select this to print the information currently displayed in the Report pane. | |
Save Form Values | This option is only enabled in Design mode (see Automation Design). Your selections are saved and applied when the program is run in automated mode. |
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Control details | |||||||||||||||||||||||
Current month number | This indicates the current month number of your Cash Book module. | ||||||||||||||||||||||
Period end date | This indicates the period end date for the current month as defined on the Periods tab of the Cash Book Setup program. | ||||||||||||||||||||||
Processing options | |||||||||||||||||||||||
Function | This enables you to indicate the processing function
you want to perform.
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Reset lowest unprocessed journal |
Select this to locate the earliest Cash Book journal that has not been posted. The Cash Book GL Integration program creates and/or posts General Ledger journals from Cash Book transaction journals according to your General Ledger Integration settings. The Cash Book GL Integration program uses the lowest unprocessed Cash Book journal number as a starting point to create/post these General Ledger journals. Selecting this option therefore ensures that no Cash Book journal is skipped when the General Ledger journals are created/posted for the Cash Book module. This option is only available when you select to process a Balance function.
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Use statement balance for balance calculation | Select this to balance the bank values based on the
current statement balance.
You typically select this option when the Cash Book Print Opening and Closing balances for consecutive months are incorrect. You cannot use this option if the number of months for which you are retaining reconciled transactions is less than 3 months (Cash Book Setup - History tab). |
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After processing completed | These options are displayed within programs that can be automated. They enable you to indicate the action you want to perform once processing is complete (see Automation Design). | ||||||||||||||||||||||
Purge details | These details relate only to the Purge function and are
displayed for information purposes only. Refer to Purge for additional information. |
The information in this pane is displayed once processing is complete, providing you did not select the option: After processing completed > Close this application.
The results of processing the function you selected are displayed.
You use the After processing completed options to print or email this information.
The system performs the following routine for a Balance:
Outstanding deposits and withdrawals are accumulated for each bank.
If no variance is detected between the current balance of the bank and the new calculated balance, then the program prints a report indicating the different balances for each bank.
If a variance is detected between the current balance of a bank and the new calculated balance, then the program updates the current balance of the bank with the calculated variance. It also updates the local equivalent of the bank (if applicable). This update applies to the Current Month, Previous Month 1 and Previous Month 2.
A report is printed indicating the different balance for each bank.
If variances are encountered, a single line is printed for the relevant bank indicating by how much the balance was raised/lowered.
The system performs the following routine for a Month end:
The current financial period is incremented by 1, and the applicable monthly status flags are set to open/closed.
The values for each period are rolled over for each bank, and the closing Cash Book balance is calculated.
Any applicable permanent entries are updated so that recurring entries will get posted in the new month.
Temporary entries residing within the permanent entries file are deleted, together with any entry where the expiry date has been reached.
The system performs the following routine for a Year end:
The current month, journal numbers and on-line check register is reset to 1.
The values for each period are rolled over for each bank, and the closing Cash Book balance is calculated.
Any applicable permanent entries are updated so that recurring entries will get posted in the new month.
Temporary entries residing within the permanent entries file are deleted, together with any entry where the expiry date has been reached.
A purge can be run together with either a month end or year end, or as a separate process.
The system performs the following routine when doing a Purge:
Reconciled transactions are deleted if the year and month in which the transaction was reconciled is earlier than the Number of months to retain - Reconciled transactions entry (Cash Book Setup - History tab) and the transactions are not EFT transactions with a status of Captured, Released or Extracted.
If the source of the transaction is either the Accounts Payable Payment Register or the Accounts Receivable Bank Deposit Slip, then the associated payment details are also removed.
Cash Book journals are deleted if: if
Checks that have been issued are deleted if the difference between the check issued date and the company date is equal to (or exceeds) the number of days you are retaining Payment cycle details (Accounts Payable Setup - History tab).
Withholding tax information is deleted according to the number of days you are retaining Payment cycle details (Accounts Payable Setup - History tab).
Permanent entries are deleted if they have been posted and they have either expired or are temporary (see Cash Book Permanent Entries).
A report is generated which includes the following summary for each file processed:
It is advisable to take a backup of your data before processing a Month end, a Year end or a Purge.
Electronic Signatures provide security access, transaction logging and event triggering. This enables you to increase control over your system changes.
Access to the following eSignature transactions within this program can be restricted at Operator, Group, Role or Company level. You configure this using the Electronic Signatures program.
eSignature Transaction | Description |
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CB Month-end performed |
Controls access to the Month-end processing function in the Cash Book Period End program. |
CB Year-end performed |
Controls access to the Year-end function in the Cash Book Period End program. |
CB Purge performed |
Controls access to the Purge processing option in the Cash Book Period End program. |
CB Balance function performed |
Controls access to the Balance processing function in the Cash Book Period End program. |
Inserting Application Help
You would typically follow this procedure to display help for the current program in a customized pane that can be pinned to the program window.
Information includes step-by-step instructions for the various functions available within the program, including a brief overview of what the program does, what setup options are required and how to personalize the program.
Open the program for which you want to insert application help into a customized pane.
This functionality is only available for a program that has panes.
Right-click any form field.
You can also click the triangle menu icon that appears in the title area of a pane.
Select Insert Application Help from the context-sensitive menu.
The application help appears in a pane within your program. You can reposition the pane using the docking stickers or pin it to the program window.
Removing the Application Help pane
If you no longer want to display application help in a pane for your current program, you can simply remove it.
Select the Close icon in the right-hand corner of the application help pane.
Confirm that you want to delete the pane.