Difference between revisions of "Accounting Finance:Cash Requirements Report"
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(Created page with "=Overview== By the end of this course, you will be able to: *Print Cash Requirements Report") |
m (Nancyn moved page Accounting Finance:A/P Transactions-Printing a Cash Requirements Report to Accounting Finance:Cash Requirements Report) |
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| − | =Overview== |
+ | ==Overview== |
| + | *Review report daily and change date when appropriate to reduce the number of cheques printed on subsequent days (generally only net due dates are changed because changing discount due dates could result in lost discounts if the date is moved forward rather than backwards) |
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| − | By the end of this course, you will be able to: |
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| + | *Transactions with '''stop codes''' will have the stop code '''PS''' next to the Net Amount |
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| ⚫ | |||
| + | *After the A/R Co-ordinator has reviewed the daily report, please forward to credit analyst for further review |
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| + | |||
| ⚫ | |||
| + | |||
| + | :1. Select '''System Management''' |
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| + | |||
| + | [[File:CashReqRep1.png|400px]] |
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| + | |||
| + | :2. Select '''Query manager''' |
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| + | |||
| + | [[File:CashReqRep2.png|400px]] |
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| + | |||
| + | :3. Select '''Run a query request''' |
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| + | |||
| + | [[File:CashReqRep3.png|400px]] |
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| + | |||
| + | :4. Highlight '''FINCASHRQ''' |
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| + | :5. Press '''Enter''' |
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| + | |||
| + | [[File:CashReqRep4.png|400px]] |
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| + | |||
| + | :6. Enter '''From Vendor''' (11 zeros if you want all vendors) |
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| + | :7. Enter '''To Vendor''' (11 nines if you want all vendors) |
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| + | :8. Enter '''From Doc Type''' (single '''A''' if you want all doc types) |
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| + | :9. Enter '''To Doc Type''' (3 '''Zs''' if you wish all doc types) |
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| + | :10. Press '''Enter |
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| + | |||
| + | [[File:CashReqRep5.png|400px]] |
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| + | |||
| + | :11. Change '''Printer''' to '''LP05''' |
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| + | :12. Press '''Enter''' |
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| + | |||
| + | [[File:CashReqRep6.png|400px]] |
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| + | |||
| + | [[Category:Workflows-Finance]] |
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| + | [[Category:Accounts Payable]] |
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Latest revision as of 11:29, 23 February 2018
Overview
- Review report daily and change date when appropriate to reduce the number of cheques printed on subsequent days (generally only net due dates are changed because changing discount due dates could result in lost discounts if the date is moved forward rather than backwards)
- Transactions with stop codes will have the stop code PS next to the Net Amount
- After the A/R Co-ordinator has reviewed the daily report, please forward to credit analyst for further review
Printing a Cash Requirements Report
- 1. Select System Management
- 2. Select Query manager
- 3. Select Run a query request
- 4. Highlight FINCASHRQ
- 5. Press Enter
- 6. Enter From Vendor (11 zeros if you want all vendors)
- 7. Enter To Vendor (11 nines if you want all vendors)
- 8. Enter From Doc Type (single A if you want all doc types)
- 9. Enter To Doc Type (3 Zs if you wish all doc types)
- 10. Press Enter
- 11. Change Printer to LP05
- 12. Press Enter

