About cash account configuration

In the Bank/likvidhantering workspace, you work with cash accounts.
Cash accounts are used to keep records of the outgoing and incoming payments and cash.
To distinguish cash accounts maintained in the Bank/likvidhantering workspace from accounts that are in the chart of accounts, we call the latter general ledger accounts, where Redovisning represents the Redovisning workspace.

In this topic, you will read about the configuration process of cash accounts and the details of implementation, which may vary depending on your company's organisation and financial operations.