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Contents
Entering Bank Statement Details................................................................3
Reconciliation with Cash Book...................................................................10
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Entering Bank Statement Details
This is the first screen you see after logging into Cash Management Module.
The Screen is divided into two clear sections a list of menu items on the left side and a blank area onthe right. There are two arrows in the middle which are disabled, in this screen. The screen is designedin this way so that the user can select the menu items that he regularly uses, press the arrow pointingright and the menu item is copied into the right side window. From the next time he wants to navigateto that screen all he has to do is to select the particular item in the right side window and click theparticular item in the right window. For example
If you are regularly involved in Entering Bank Statements you would follow the following steps asshown in the next few screens
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Select the Bank Statements menu item and press the right arrow which you can see is enabled
Your screen would now appear like the one above. Now whenever you would like to enter Bank
Statements select the item Enter / Reconcile Bank Statements on the right side window and click theOpen Button to navigate to the screen
Select Enter/Reconcile Bank Statements and click on Open Button
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Click on New to enter the Bank statement Lines. The screen shows as below
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Select the following details from the LOV
Account Number Bank Account NumberAccount Name Bank Account NameDate Statement DateStatement NumberGL Date General Ledger Date
After entering all the details enter the following details in the highlighted(red) field.
Receipts Total Receipts amount and Count as per Bank StatementPayments Total payments amount and Count as per Bank statement
Click on Lines once these details are completed.
LOV-ListofValues
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Click on New for entering Bank statement lines
Click on Find for querying the already entered Bank Statement lines.
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Enter the statement lines one by one for different type of transactions.
Save the details once all the lines are entered. The system will show the transactions lines status asUnreconciled. (as shown above)
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Select/Enter the following details.
Line Enter the Line No manuallyType Select the type of Transactions Misc receipt Miscellaneous receipt trxn, Misc
Payment Misc payment trxns, NSF Non sufficient Funds, Payment ChequeRelated payments, Receipts Cheque related receipts, Rejected and stopped item.
Code This option is used for Electronic transactions. So we can ignore this for manuallyEntering transactions.
Number Cheque Numbers.
Transaction date, Value Date Dates as per Bank statement date.
Amount Enter the amount as per bank statement.
Once the details are entered save the details. Then click on a particular line and click on Available
button to reconcile the item.
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Reconciliation with Cash Book
Select the relevant option and then click on Find.
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Select the line (tick this option ( ) which is matching to the bank statement line
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After select the line which have to be reconciled, enter the transaction date and GL date and click on
Reconcile ( ) button to reconcile with bank statement.
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This screen shows a particular line which has been reconciled with the our book.