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Cash Position
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- Last edited 2 years ago by Gelo
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Cash Position
Cash Position refers to the Cash Balance Details (Inflows and Outflows)
Field | Description |
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1. Date Range | Date Filter Range for Cash Position Status
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2. Export | Allows the user to Export the record to spreadsheet |
3. Bank Balance | Current Balance of the Company on their Bank Statement. |
4. Less: Outstanding Checks | The amount will be deducted to balance from the Checks Issued. |
5. Add: For Deposit | The amount to be deposit to the Bank Balance. |
6. Available Cash | Total Cash Available that the company can use. |
7. Less: Check for Release | Total Value for Release Checks to be deducted to the Available Cash |
8. Post Dated Checks | Other Posted Checks to be deducted to the Available Cash |
9. Cash Balance | Total Remaining Bank Balance after all deduction made. |
Checking Cash Position Balance
- Under the Main Menu, Click Reports
- Under Reports Menu, Click Cash Position under Financial Statement Reports
- Under Cash Position Menu, The user can modify the Cash Position Entries on the given date to check their current state on the Company financially.
Exporting Cash Position
- Under the Main Menu, Click Reports.
- Under Reports Menu, Click Cash Position under Financial Statement Reports.
- Under Cash Position Menu, Click the Export button from the Upper right corner of the screen. The user may filter the date for precise exportation of records.
Reports Module (Reports) | |
Reports | Financial Statement |
Financial Statements | Balance Sheet | Income Statement | General Ledger | General Journal | Trial Balance | Statement of Account | Accounts Receivable Aging | AR Detailed Report | AR Transaction Report | Accounts Payable Aging | AP Detailed Report | AP Transaction Report | Cash Position | Check List | Deposit List | Collection Register |