Visma Net
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.
You can use the selection area of the Cash account details (CA303000) window to customise the
transactions that will be shown in the table area.
You can view a summary or
detailed view of transaction information, so that you get the precise level of
detail you need at the moment.
To view the summary of activities on the chosen cash account, select the Show
summary option in the selection area of the window.
The transactions
in the list will be grouped by receipts and disbursements and by day of the week in
the specified date range. (Dates without transactions will not be listed.)
The
summary view shows only the document date, the day of the week, the total amount of
receipts and disbursements, and the ending balance for the day.
The detailed view, which you get when the check box for the Show
summary option is cleared, is the default view.
This view displays
all activity on the cash account during the specified period. With the detailed
view, you can see the most thorough information about each transaction.
This
information includes the transaction's detailed description, its type, its status,
and information about the supplier or customer associated with the document (if it's
an supplier ledger or customer ledger document).
The transactions displayed in the Cash account details (CA303000) window correspond to the date
range specified in the selection area.
By default, the start and end dates are based
on the default date range set for the Cash management workspace in the Cash management preferences (CA101000) window.
The default start
date is the first date of the current month, week, or financial period, depending on
which of these is the default date range, and the default end date is the last date
of the current date range. The user can, of course, override these default settings
to view any time interval.
In addition, the Include unreleased check box in the Selection area of the Cash account details (CA303000) window controls whether transactions with the On hold or Balanced status will be included in the displayed transactions:
- For the summary view, if this check box is selected, transactions with these
statuses will be added to the totals of receipts and disbursements per day.
If the check box is cleared, totals of receipts and disbursements are calculated only on the released transactions. - For the detailed view, if this check box is selected, all documents associated
with the cash account will be listed.
If it is cleared, only released documents will be listed.
In the Cash account details (CA303000) window (in both the detailed and summary views), you can access the Quick transaction entry dialog box by clicking the Create transaction button in the table toolbar. You use this dialog box to quickly add supplier ledger, customer ledger, or cash management transactions.
Related concepts
About the reclassification of unknown payments
About cash transaction processing
About cash account configuration
Related tasks
Enable customer and supplier recognition for bank transactions
Set up transaction matching settings
Set default cash account for payments and transactions
Disable the automatic creation of supplier prepayments during auto-matching
Disable the automatic creation of customer payments when bank payment amount is not fully applied
Activate automatic post and release for purchase documents
Release multiple cash transactions
Quickly record cash entry task
Related windows
Cash management preferences (CA101000)