Cash Matching Report
This feature is not part of the base Accounting package, your administrator![]() |
You can use a cash matching report to find out how a payment was allocated, or when an invoice was paid.
You can base the report on the following criteria:
- Sales invoice number
- Sales credit note number
- Vendor invoice number
- Vendor credit note number
- Cash entry number
- Cash entry reference
To create a cash matching report:
- Click the Accounts tab.
- Locate and select the relevant account.
- Scroll down to the Cash Matching Report section.
- Enter the criteria on which you want to report.
- Click Show Report.
See "Getting Started with OneTouch", available on the Certinia Community website, for information on how to set up this feature.