Data selection
here, the time period of the data can be
selected.
• Balance display
This displays the totals of incoming and
outgoing cash and the beginning and ending balance.
• Accounting Transactions
Here, the cash journal transaction can be
entered. A distinction is made here between “cash
payments”, “cash receipts” and “check receipts”. The
offset account for each transaction (and tax code if
required) are set up ahead of time in configuration