Use this tab to add or edit details for adjustments. 
 
        Fields on this tab are enabled for deposits only; that 
 is, when you select the adjustment type of GL 
 on the General 
 Tab. The system provides default cash account information. You must 
 add one or more lines for the offsetting entry or entries. 
        Fields on this tab are disabled when you are correcting 
 minor discrepancies on the bank statement; that is, when you select the 
 adjustment type of Bank on the General Tab. Only the 
 Debit Total and Credit Total 
 fields display. 
        
            Sequence Number Field
            The first column, which is not labeled, is a display-only, 
 system-generated sequential line number. 
            Bank Account
            The display-only bank account identification. 
 
            Entity 
 IDCompany 
 ID
            
            The display-only EntityCompany 
 identification. 
            GL Account
            Depending on the adjustment 
 you are making, the credit can be associated with the EntityCompany 
 or the EntityCompany 
 cash account. 
            
                - If the 
 credit is a display-only general ledger account identification that is 
 associated with the EntityCompany, 
 use the Lookup icon  to select the offsetting account 
 for the debit. to select the offsetting account 
 for the debit.
- If the 
 credit is a display-only general ledger account identification that is 
 associated with the EntityCompany 
 cash account, use the Lookup icon to displays the  
 and select the offsetting account for the debit. 
Description
            Enter a description of the adjustment being made. 
 The description defaults from the General 
 Tab. 
            Amount
            Enter the amount of the adjustment being made. 
 For the first line, the amount defaults from the General Tab. 
            Delete Button 
            Click the Delete icon 
  to delete an adjustment entry. Note that you are deleting 
 one line item detail for this adjustment transaction but not the entire 
 transaction.
to delete an adjustment entry. Note that you are deleting 
 one line item detail for this adjustment transaction but not the entire 
 transaction.
            Debit Total
            The system-generated debit total for the adjustment 
 being made. To save entries, the debit and credit totals must match. 
            Credit Total
            The system-generated credit total for the adjustment 
 being made. To save entries, the debit and credit totals must match. 
            Cancel
            Click to exit without saving changes.
            Save
            Click to save your changes.