Creating a Cash Entry
This topic relates to creating Cash Entries in Lightning Experience.
To create a cash entry:
- From the App Launcher, search for Cash Entries.
- Click New on the Cash Entry page and fill the fields in the Cash Entry Detail section.
- Leave the Derive Bank Account checkbox selected to derive the bank account from the current company, or enter a specific bank account.
- Leave the Derive Period checkbox selected to derive it from the document date, or enter a specific period.
- Leave the Derive Currency checkbox selected to derive it from the bank account currency, or enter a specific currency.
- Enter the remaining header details for the cash entry. You can optionally enter analysis dimensions and bank charges or derive them from the bank account.
- Click Save to save the cash entry.
Cash Entry Line Items
You can perform the following actions using the cash entry line items toolbar.
To add a new line item:
- From the Line Items tab on the Cash Entry page click on the toolbar. A new line is added to the line items grid.
- Specify the account in the line.
- [Optional] Enter a line description.
- Enter the remaining details for the cash entry account line, including a cash entry value and any bank charges or processing fees specific to this line.
- Click Save to save the line item.