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New Features in Cashbook 2012 (6.1A) for Sage 300 ERP 2012
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New Features in Cashbook 2012 ( 6.1 A) for Sage 300 ERP 2012.

Dec 18, 2015

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Page 1: New Features in Cashbook 2012 ( 6.1 A) for Sage 300 ERP 2012.

New Features in Cashbook 2012 (6.1A) for

Sage 300 ERP 2012

Page 2: New Features in Cashbook 2012 ( 6.1 A) for Sage 300 ERP 2012.

Enter a Pure Tax Line With No Tax Base

Page 3: New Features in Cashbook 2012 ( 6.1 A) for Sage 300 ERP 2012.

Batch Entry Setting for Entry Type to Precede Reference

Page 4: New Features in Cashbook 2012 ( 6.1 A) for Sage 300 ERP 2012.

Batch Entry Print Cheque/Receipt Flag

Page 5: New Features in Cashbook 2012 ( 6.1 A) for Sage 300 ERP 2012.

Filter Batch List by Bank Code

Page 6: New Features in Cashbook 2012 ( 6.1 A) for Sage 300 ERP 2012.

Batch List No. of Errors Column

Page 7: New Features in Cashbook 2012 ( 6.1 A) for Sage 300 ERP 2012.

Click on No. of Errors to Go to Posting Journal Error

Report

Page 8: New Features in Cashbook 2012 ( 6.1 A) for Sage 300 ERP 2012.

Sort Batch List in Ascending or Descending Order

Page 9: New Features in Cashbook 2012 ( 6.1 A) for Sage 300 ERP 2012.

Bank Reconciliation Adjustments for Unreconciled Entries

Page 10: New Features in Cashbook 2012 ( 6.1 A) for Sage 300 ERP 2012.

Lock Bank Reconciliation by Range

Page 11: New Features in Cashbook 2012 ( 6.1 A) for Sage 300 ERP 2012.

Lock Bank Reconciliation Entry

Page 12: New Features in Cashbook 2012 ( 6.1 A) for Sage 300 ERP 2012.

Lock Entries During Posting When Selecting to Reconcile Entries

Page 13: New Features in Cashbook 2012 ( 6.1 A) for Sage 300 ERP 2012.

Bank Reconciliation Entry Audit Information

Page 14: New Features in Cashbook 2012 ( 6.1 A) for Sage 300 ERP 2012.

Transaction Detail Report Including Audit and RecXpress

Information

Page 15: New Features in Cashbook 2012 ( 6.1 A) for Sage 300 ERP 2012.

Bank Summary Drill Down to Bank Reconciliation

Page 16: New Features in Cashbook 2012 ( 6.1 A) for Sage 300 ERP 2012.

Option For Batch Entry Blank Reference Field Validation

Page 17: New Features in Cashbook 2012 ( 6.1 A) for Sage 300 ERP 2012.

Post Batches Automatically in PJC

Page 18: New Features in Cashbook 2012 ( 6.1 A) for Sage 300 ERP 2012.

Select Modules to Retrieve to Cashbook

Page 19: New Features in Cashbook 2012 ( 6.1 A) for Sage 300 ERP 2012.

Option to Set Retrieved Batches as Ready to Post

Status

Page 20: New Features in Cashbook 2012 ( 6.1 A) for Sage 300 ERP 2012.

Batch Entry Default Source Code by Bank

Page 21: New Features in Cashbook 2012 ( 6.1 A) for Sage 300 ERP 2012.

Option to Switch off Clearing Accounts by Bank

Page 22: New Features in Cashbook 2012 ( 6.1 A) for Sage 300 ERP 2012.

Use Clearing Account for Project And Job Costing

Page 23: New Features in Cashbook 2012 ( 6.1 A) for Sage 300 ERP 2012.

Minimum and Maximum Functional Entry Amount by

User

Page 24: New Features in Cashbook 2012 ( 6.1 A) for Sage 300 ERP 2012.

Speed Improvements in:

Reconcile Range in Bank ReconciliationPrint CashbookPrint ReconciliationPrint CashflowPrint Cheques & ReceiptsPrint Missing Cheques

Page 25: New Features in Cashbook 2012 ( 6.1 A) for Sage 300 ERP 2012.

RecXpress 2012 (6.1A)

Page 26: New Features in Cashbook 2012 ( 6.1 A) for Sage 300 ERP 2012.

Keep Current and Last Statement Date

Page 27: New Features in Cashbook 2012 ( 6.1 A) for Sage 300 ERP 2012.

Balances and Totals Displayed on Import Screen

Page 28: New Features in Cashbook 2012 ( 6.1 A) for Sage 300 ERP 2012.

Select to Match Amounts to Date Later than Stmt

Transaction Date

Page 29: New Features in Cashbook 2012 ( 6.1 A) for Sage 300 ERP 2012.

Import Multiple Bank Statements Simultaneously

Page 30: New Features in Cashbook 2012 ( 6.1 A) for Sage 300 ERP 2012.

A List of Bank Statements to Import is Kept by User.

Page 31: New Features in Cashbook 2012 ( 6.1 A) for Sage 300 ERP 2012.

Add Bank Statement Amount to Template Rules

Page 32: New Features in Cashbook 2012 ( 6.1 A) for Sage 300 ERP 2012.

Add Bank Statement Amount to Template Rules

Page 33: New Features in Cashbook 2012 ( 6.1 A) for Sage 300 ERP 2012.

Generate AR Refund Entries to Cashbook Batch

Page 34: New Features in Cashbook 2012 ( 6.1 A) for Sage 300 ERP 2012.

Drill Down to Cashbook Bank Reconciliation Detail

Page 35: New Features in Cashbook 2012 ( 6.1 A) for Sage 300 ERP 2012.

Unreconciling Cashbook Entry Unposts Entry in

RecXpress

Page 36: New Features in Cashbook 2012 ( 6.1 A) for Sage 300 ERP 2012.

Select Transaction Enquiry for Cashbook Entries in

RecXpress

Page 37: New Features in Cashbook 2012 ( 6.1 A) for Sage 300 ERP 2012.

Lock Cashbook Entries When Posting RecXpress

Reconciliation

Page 38: New Features in Cashbook 2012 ( 6.1 A) for Sage 300 ERP 2012.

RecXpress Integrity Check to Ensure RecXpress Data

Integrity

Page 39: New Features in Cashbook 2012 ( 6.1 A) for Sage 300 ERP 2012.

EFTXpress 2012 (6.1A)

Page 40: New Features in Cashbook 2012 ( 6.1 A) for Sage 300 ERP 2012.

Setup My & Beneficiary Statement Descriptions

Page 41: New Features in Cashbook 2012 ( 6.1 A) for Sage 300 ERP 2012.

Option to Retrieve AR Refund Batches as EFTXpress Entries

Page 42: New Features in Cashbook 2012 ( 6.1 A) for Sage 300 ERP 2012.

Append Retrieved AP EFT Entries to Existing Cashbook

EFT Batch

Page 43: New Features in Cashbook 2012 ( 6.1 A) for Sage 300 ERP 2012.

Enter EFT Vendor Payment Details in Batch Entry on the Fly

Page 44: New Features in Cashbook 2012 ( 6.1 A) for Sage 300 ERP 2012.

Thank You for Attending the Presentation