Enter Cash Desk Documents You can only process cash desk documents, if you are assigned as the cashier for a cash desk account (G/L account).
This assignment to a cash desk account is carried out in Customizing. For more information, see the
Funds Management Government
IMG under
Funds Management-specific postings
→
Cash
→
Cash desk
→
Assign general ledger account to a cashier.
You are in the
Cash desk
screen
To reach the
Cash desk
screen, choose
Accounting
→
Public Sector Management
→
Funds Management
→
Posting
→
Cash desk
→
Edit.
Enter the company code and the payment transaction and choose
.
You see dialogue box
Determining open items
.
Enter the FI document number in the field
Document number
and choose
Back
The FI document data from Financial Accounting is transferred to the document.

If the relevant FI document number is not available, then start a search help in field
Document Number
via F4 using further selection parameters such as request number, reference, and posting date.
Confirm the incoming or outgoing cash payment by saving the cash document with
.
Enter the company code, the payment transaction and the following additional entries:
a. For special G/L payments, you must enter either a revenue type or the relevant FM account assignment directly. If you enter the revenue type, the corresponding commitment item will automatically be entered in the cash document.
b. For payment transactions, that are not special G/L payments, you must always enter an invoice reference. Payment transactions of this type must be classified as partial payments.
c. If you enter earmarked funds as an account assignment, the corresponding FM account assignments are derived from the earmarked funds.
Confirm the incoming or outgoing cash payment by saving the cash document with
.
The current cash documents that you saved before leaving the screen
Cash Desk
are displayed on the
Monitor
tab page in chronological order.
Irrespective of this, you can call up a selection of cash documents using
Document List.
The saved cash documents have processing status
Entered cash documents and are flagged in the document list with status
.
See also: