Enter Cash Account
Explanation
This activity is used to enter,
change, and view details of the cash accounts your company uses. This compulsory
task is to be performed by a system administrator or an equivalent person.
Each cash account belongs
to a payment institute. Currency accounts and accounts in the companys accounting
currency can be processed. You can enter cash account, payment institute, currency,
account number, balance method, and description. If the currency account is used for foreign payments via
bank giro, these must be defined for the bank giro payment institute. These
can be linked to the currency account at the bank. The 
transaction types allowed for each cash account are defined by using the right 
mouse button 
option Transaction Types Per Cash Account. If the cash account belongs to a 
cash 
box payment institute, the allowed transaction types are limited to Enter 
Supplier Payment, Enter Customer Payment, Direct Cash Payment 
and Cash Transfer.
For cash box cash accounts, 
the statement number generated when entering a cash box is not editable. For 
other types of cash accounts, the statement number is editable, unless it is 
manually specified as not editable using this window. When statement number is 
not editable, the No Prefix function defines the numbering for statements of 
accounts. Number prefix is specified for each cash account in the  
Statement No 
Prefix window. When a mixed payment or cash box payment is entered for cash account, the 
Statement No/Cash Box Report will contain the prefix defined for the cash 
account. 
A cash account can be linked to a payment institute 
office. Only the payment institute offices connected to the payment institute 
of the cash account can be connected to the cash account.  
A cash account can be linked to an associate cash account. This is applicable
for pseudo, e.g., Swedish accounts bank giro ID, in terms of the payment institute to which
each account is linked. The account number for the non-existent bank giro account should
be the ordinary bank giro account number. 
Prerequisites
This activity has the following prerequisites:
  - The payment institute to which the cash account refers must be entered.
- If the currency account is used for foreign payments via
bank giro, these must be defined for the bank giro payment institute, e.g., BGEUR.
System Effects
As a result of this activity:
  - The cash account can be used and payments can be entered on
the cash account.
- The default cash account appears in the Customer BOE Transfer 
	Proposal and  Create 
	Supplier Payment Proposal window
    for the relevant currency and payment institute.
- The query window,  Cash Account
    Balance Analysis, contains information about the total balance of the cash
    account,  incoming cash, outgoing cash per balance date.
Window
Cash Accounts
Related Window Descriptions
Cash Accounts
Transaction Type per Cash Account
Procedure
To perform this activity, follow these steps:
  - Open the 
	Cash Accounts window.
- Create a new record.
- In the  Short Name field, enter up to 20 alphanumeric characters for
    the cash account's short name,
    e.g., BGSEK for Bank giro Swedish kronor.
- In the  Payment Institute field, select the institute from the List
    of Values.
- In the  Currency field, select the cash account's currency from the
    List of Values.
- In the  Account Number and  Description fields, enter the
    account number and description for the payment institute's cash account.
- Select a value from the List of Values for the 
	BIC/Swift Code field if necessary.
- To define this account as the default, select the  Default  Flag check box.
- Select the International Cash Account check box
    if the cash account is connected to a payment institute in a
  foreign country.
- Select the Statement No Not 
	Editable check box if the statement numbers given in mixed payment should 
	not be manually edited.
- If statement number is not editable, 
	define number prefix for cash accounts by using the right mouse button option Statement No Prefix. 
	The Statement No 
	Prefix window will be opened. Enter the valid-from date of prefix and enter the 
	prefix that will be used to number the statements of account.  
- To define an associated cash account, select the account from the List of
    Values.
- To define the balance method, click the method type from the Balance
	Method list.
- If this Cash Account shall not be used as a counter cash account in a 
	cash transfer transaction, select Not Allowed as Cash Transfer 
	Method else select the appropriate method from the list in the Cash 
	Transfer Method field to be suggested when this cash account is used as 
	a counter cash account in a Mixed Payment or in a Cash Box transaction.
- To define the voucher type, select the type from the List of Values in the
    Voucher Type field.
- To define the institute code for the cash account, enter the institute ID
    in the Institute Code field.
- To define the payment institute office for the cash account, enter 
	or choose from the office ID from the List of Values for the Office
	Code field.  
- To define a lockbox number, enter the lockbox ID in the Lockbox
	No field.
- To define the cash account type, select the account type
    from the list.  
- Save the changes.
To select transaction types for which the cash account is used:
	- Select the cash account you saved, right-click and then click Trans 
	Type per Cash Account.
- Select or clear the Used check box for the displayed transaction 
	types.
- To define a default transaction type for the cash account select the 
	Default Transaction Type check box.
- Save changes.