CB10.1 - Cash Receipt Deposit Use CB10.1 (Cash Receipt Deposit) to enter cash deposits for a general ledger company. If you do not want to use the Deposit Date to post the cash deposit to the general ledger, choose the Post Date button to open the Cash Receipt Post Date subform. Use the subform to define a post date. Choose the Receipt Detail button to open the Cash Receipt Entry subform. Use the subform to itemize the deposit by cash receipt category. The total category distributions you enter must equal the Deposit Amount before you can release the cash receipt deposit. You enter tax liability information at the distribution level. When you assign a tax code and a tax amount to a cash receipt distribution, the cash receipt distribution amount, less the tax amount, posts to the general ledger revenue account assigned to the category. The tax amount posts to the accounts receivable account assigned to the tax code. Updated Files ACCOMMIT - Creates an activity management commitment record. ACCOMMITX - Creates an activity management commitment record. CBBANKENT - Validates bank and updates used flag. CBBANKINST - Validates bank transaction code and updates used flag. CBCASHCODE - Validates cash code and updates used flag. CBCPYCASH - Validates company-cash code relationship and updates used flag. CBDISTRIB - Creates distributions records. CBRECPTDTL - Deletes cash receipt distribution records linked to cash receipt. CBRECPTHDR - Creates cash receipt records. CBTRANS - Creates bank transaction records. JBKSEQNBR - Generates the next available journal book sequence number. JBOOKHDR - Validates a journal book and updates the used flag. TXCODEMAST - Validates tax code. Does not update. TXCOMPANY - Referenced by tax common routines. Does not update. TXTAXCODE - Validates tax code and updates tax transaction identification number. TXTAXTABLE - Used for tax calculations. TXTAXTRAN - Creates tax transaction records. Referenced Files ACACCTCAT - Referenced by activity management common routines. ACACTGRP - Referenced by activity management common routines. ACACTIVITY - Referenced by activity management common routines. ACCAL - Referenced by activity management common routines. ACCALX - Referenced by activity management common routines. APACCRCODE - Validates an invoice accrual code. APCOMPANY - Validates an accounts payable company and returns defaults. APCPYVND - Used to retrieve company specific defaults for a given vendor. APHLDINV - Used to determine if a transaction or vendor is on hold. APVENCLASS - Used to retrieve defaults from the vendor class APVENGROUP - Used to retrieve vendor group information. APVENMAST - Validates a vendor and retrieves vendor defaults. CBADJUST - Referenced by bank transaction common routine. CBBALANCE - Used to check closed bank period. CBCATEGORY - Used to validate cash receipt category code. CBPROCLEV - Used to validate cash receipt process level. CBSTATEMNT - Validates a cash ledger statement exists. CBSTMTDTL - Validates bank statement detail entries. CBUSER - Validates user can access cash code. CBUSRCLASS - Validates all users for cash code. CUCONV - Used by currency routines. CURELAT - Used by currency routines. GLADDRESS - Referenced by general ledger common routines. GLCHART - Referenced by general ledger common routines. GLCODES - Referenced by general ledger common routines. GLNAMES - Referenced by general ledger common routines. GLSYSTEM - Referenced by general ledger common routines. JBKACCT - Referenced by general ledger common routines. JBKOPCODE - Referenced by general ledger common routines. JBKSYSCODE - Referenced by general ledger common routines. MXLISTMBR - Referenced by general ledger common routines. SYSTEMCODE - Validates the system code updating general ledger and updates the object ID. TXTAXRATE - Used for tax calculations. CB10.3 - Cash Receipt Entry Use the Cash Receipt Entry subform to enter distributions to itemize a cash deposit by category. The total distributions you enter must equal the Deposit Amount defined in CB10.1 (Cash Receipt Deposit) before you can release the deposit. To override defaults defined for a cash receipt category or define tax information, choose the More button to open the Cash Receipt Detail Option subform. When you assign a tax code and a tax amount to a cash receipt distribution, the cash receipt distribution amount, less the tax amount, posts to the general ledger revenue account assigned to the category. The tax amount posts to the accounts receivable account assigned to the tax code. Updated Files CBCASHCODE - Validates cash code and updates used flag. CBCATEGORY - Validates cash receipt category and updates used flag. CBRECPTDTL - Creates cash receipt distribution records. CBRECPTHDR - Updates applied amount fields. TXCODEMAST - Validates tax code. Does not update. TXCOMPANY - Referenced by tax common routines. Does not update. TXTAXCODE - Used to validate tax code. TXTAXTABLE - Used for tax calculations. Referenced Files APACCRCODE - Referenced by tax common routine. CBUSER - Validates user can access cash code. CBUSRCLASS - Validates all users for cash code. CUCONV - Referenced by general ledger common routines. CURELAT - Referenced by general ledger common routines. GLADDRESS - Referenced by general ledger common routines. GLCHART - Referenced by general ledger common routines. GLINTCO - Referenced by general ledger common routines. GLSYSTEM - Referenced by general ledger common routines. TXTAXRATE - Used for tax calculations. INVOKED Programs ACAC IFCR IFSG IFCU IFAC IFAU SLSE SLSU IFCC IFOB IFRS |