GL: Adjusted Cash Balance Report

Make the following menu selections to display this tab:

eFinancials—Reports—GL Reports—Adjusted Cash Balance

Use this tab to print a report showing current balances for selected Cash accounts, the amount of the untransferred cash receipts from eSite for those accounts, and the combined total of both. You can select to include unapproved eFinancials transactions. The report is run for a specified period, selected entitiescompanies, and specified Cash Group Codes.

Note

When attempting to print the Adjusted Cash Balance report from a database set that does not have an eSite database, a message indicates that an eSite database was not found and to verify the eSite Web Service setup and/or that the eSite database is set up in the dataset.

See Also

Cash Group Codes Overview

Web Service Setup

GL Account Maintenance Tab

GL Reports Introduction

Series of Reports

Setup Report Formats

 

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