View Bank Reconciliation Summary (GLQBKINQ)
- Select Bank Account group box
- Currency field
- C/R per Books subtask
- Func Total G/L Amount field
- Cash Receipts Per Books table window
- REF 1 field
- REF 2 field
- Func Crncy G/L Amount field
- C/D per Books subtask
- Func Total G/L Amount field
- Cash Disbursement Per Books table window
- REF 1 field
- REF 2 field
- Func Crncy G/L Amount field
- Manual Adj subtask
- Func Total G/L Amount field
- Manual Adjustments table window
- Func Crncy G/L Amount field
- Deposits in Transit subtask
- Func Total Receipt Amount field
- Deposits in Transit table window
- REF 1 field
- REF 2 field
- Func Crncy Receipt Amount field
- Outstanding Chks subtask
- Func Total Check Amount field
- Outstanding Checks table window
- REF 1 field
- REF 2 field
- Func Crncy Check Amt field
- Outstanding Adj subtask
- Func Total Adjusted Amount field
- Outstanding Manual Adjustments table window
- Func Crncy Adjustment Amt field
- Unmatched C/R subtask
- Func Total G/L Amount field
- Unmatched Cash Receipts table window
- REF 1 field
- REF 2 field
- Func Crncy G/L Amount field
- Unmatched C/D subtask
- Func Total G/L Amount field
- Unmatched Cash Disbursements table window
- REF 1 field
- REF 2 field
- Func Crncy G/L Amount field
- Unmatched Adj subtask
- Func Total G/L Amount field
- Unmatched Manual Adjustments table window
- REF 1 field
- REF 2 field
- Func Crncy G/L Amount field
Parent Topic: Cash Management Module