Make the following selections from the eFinancials menu to display the tab for this report:
Accounts Payable—Check Processing—Cash Requirements
Use this option to print a financial report that provides data on cash requirements for all selected bank accounts.
Report Description
This financial report provides data on cash requirements for bank accounts. It is available in Summary and Detail formats.
This information applies to both the Summary and Detail reports.
The report sorts by vendor, by bank, and subtotals by vendor. Columns include:
Invoice
Date of invoice
PO/Contract - Purchase Order number/Contract number
Due date
Disc. Due - Discount Due date
Description
Amount
Discount amount
Retainage amount
To Pay - Amount to Pay
SC - SC shows when the Separate Check option is checked in Invoice Entry in the header on the Invoices Tab, or any of the lines are set to Separate Check in the item detail at the bottom of the Invoices Tab.
Refer to Introduction for additional information about the report.
The report sorts by vendor, by bank, and subtotals by vendor. Columns include:
Invoice
Date of invoice
Expense code
PO/Contract - Purchase Order number/Contract number
Due date
Disc. Due - Discount Due date
Description
Amount
Discount amount
Retainage amount
To Pay - Amount to Pay
SC - What is shown marked with SC is based on whether the Separate Check option is checked in the header in Invoice Entry on the Invoices Tab:
Checked - SC shows for all lines of the invoice.
Unchecked - SC shows only for lines individually set to Separate Check in the item detail at the bottom of the Invoices Tab. Refer to Methods of Issue - Separate Checks/Direct Deposits topic, One Check per Line Item Detail, for more information.
Refer to Introduction for additional information about the report.
Procedure
See Also
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