About cash transaction monitoring

By using the Cash account details (CA303000) window, authorised users can monitor cash accounts and effectively manage cash transactions originating in the Supplier ledger, Customer ledger, and Cash management workspaces.

This functionality provides instant access to the up-to-date balance of each cash account.
The balance of each cash account is updated as each supplier ledger or customer ledger document is released, cleared, or reconciled.
You can get a per-day summary of a bank account or the complete list of documents and transactions created during the specified period.
You also can drill down to individual supplier ledger, customer ledger, or cash management documents to view their details, and cash transactions can be added quickly from the window.

With immediate access to all cash transactions and an accurate big picture view of each cash account, you and your authorised personnel can save time, manage the cash flow more effectively, and make informed business decisions.