Detail Tab Adjustment

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.

ClosedFields

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.

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.

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.

See Also

Bank Reconciliation