Processing Cash Desk Closing Choose
This takes you to the
Cash desk closing (cash desk subsidiary ledger)
screen
.
Note
If you want to display a previous cash desk closing, call up the input help for the date field for
Time of closing
and select one of the cash desk closing dates.
Choose
with the quick info text
Execute
.
You will get a list of results for the appropriate cash desk closing.
If you have selected a cash desk closing that is not yet complete, you will see that the status is
Closing not complete.
For completed cash desk closings, the status
Completed closing
is displayed.
Note
You can branch from this summary display to individual cash documents by selecting
documents
or
reversals
or by double clicking on a payment transaction in the table evaluation.
Select
Enter actual balance,
enter the actual cash desk balance in the
Enter actual cash desk balance
dialog box and select
Continue.
The expected balance of cash documents is evaluated and compared with the actual cash desk balance.
If you notice any errors in the expected balance that you want to correct, you can do so for cash desk closing operations with the status
Closing not complete
.
If you want to complete a cash desk closing operation, select
Complete
.
Its status is then set to
Closing complete
.
The status of entered cash documents that you have not yet released manually is automatically changed to
Released cash documents
on cash desk closing.
To print out a completed cash desk closing and a count form for the cash holdings of the cash desk, select the relevant
SAP-Script or PDF-based
form
.
You have executed cash desk closing for a specific time interval. The data from the released cash documents can now be passed on to component
Financial Accounting
where it can be posted in the general ledger.
See also: