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Published byDrusilla Walters Modified over 9 years ago
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New Features in Cashbook 2012 ( 6.1 A) for Sage 300 ERP 2012
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Enter a Pure Tax Line With No Tax Base
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Batch Entry Setting for Entry Type to Precede Reference
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Batch Entry Print Cheque/Receipt Flag
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Filter Batch List by Bank Code
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Batch List No. of Errors Column
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Click on No. of Errors to Go to Posting Journal Error Report
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Sort Batch List in Ascending or Descending Order
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Bank Reconciliation Adjustments for Unreconciled Entries
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Lock Bank Reconciliation by Range
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Lock Bank Reconciliation Entry
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Lock Entries During Posting When Selecting to Reconcile Entries
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Bank Reconciliation Entry Audit Information
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Transaction Detail Report Including Audit and Rec X press Information
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Bank Summary Drill Down to Bank Reconciliation
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Option For Batch Entry Blank Reference Field Validation
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Post Batches Automatically in PJC
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Select Modules to Retrieve to Cashbook
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Option to Set Retrieved Batches as Ready to Post Status
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Batch Entry Default Source Code by Bank
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Option to Switch off Clearing Accounts by Bank
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Use Clearing Account for Project And Job Costing
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Minimum and Maximum Functional Entry Amount by User
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Speed Improvements in: Reconcile Range in Bank Reconciliation Print Cashbook Print Reconciliation Print Cashflow Print Cheques & Receipts Print Missing Cheques
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Rec X press 2012 ( 6.1 A)
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Keep Current and Last Statement Date
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Balances and Totals Displayed on Import Screen
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Select to Match Amounts to Date Later than Stmt Transaction Date
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Import Multiple Bank Statements Simultaneously
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A List of Bank Statements to Import is Kept by User.
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Add Bank Statement Amount to Template Rules
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Generate AR Refund Entries to Cashbook Batch
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Drill Down to Cashbook Bank Reconciliation Detail
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Unreconciling Cashbook Entry Unposts Entry in Rec X press
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Select Transaction Enquiry for Cashbook Entries in RecXpress
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Lock Cashbook Entries When Posting Rec X press Reconciliation
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Rec X press Integrity Check to Ensure Rec X press Data Integrity
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EFT X press 2012 ( 6.1 A)
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Setup My & Beneficiary Statement Descriptions
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Option to Retrieve AR Refund Batches as EFT X press Entries
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Append Retrieved AP EFT Entries to Existing Cashbook EFT Batch
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Enter EFT Vendor Payment Details in Batch Entry on the Fly
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Thank You for Attending the Presentation
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