Approve Cash Batch Tab

This tab appears when you click the Approve icon from the Cash Batches Tab. Use this tab to enter the details necessary to approve the cash batch.

ClosedFields

NoteNote

A red asterisk ( * ) indicates a required field or selection.

Batch No

The display-only batch number.

Approval Code *

Enter the approval code certifying the batch totals have been verified and are accurate.

Cash Batch Total *

Enter the amount of the cash batch using this format 0000.00. Or use the Calculator Button to figure an amount.

Settlement Date & Settlement Amount

These two fields only appear for batch type External. They are automatically filled out when an external transfer is made by a third-party application. The Settlement Date and Settlement Amount may also be manually edited if the user's System Security Permission  Approve X Type Batches is checked in eSite—Ledger—Cash Batches.

Settlement Date

Enter the date that the batch was settled using this format mm/dd/yyyy. Or use the Calendar Button to choose the desired date.

Settlement Amount

Enter the amount of the Settlement Amount using this format 0000.00. Or use the Calculator Button to figure an amount.

See Also

To Add a Cash Batch

To Print a Cash Batch

To View or Edit Transaction Details

To Delete a Cash Batch

To Approve a Cash Batch

Cash Batches Grid

Add Cash Batch Tab

Modify Cash Batch Tab

View Edit Transactions Batch Details Tab

Cash Batches Overview

Ledger Overview

Batches Overview

 

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