Cash Payment Settings

[Payment Type (Cash)]

Access

Use this routine to create and maintain cash payment types for use in sales order entry and receivables entry programs when applying deposits and payments to open and completed orders.  

 Use the Warehouse/Store Location Settings to locate the bank (code) where payments are deposited. The Bank file contains the Cash General Ledger Account number used when posting payments.

Payment Type Code

Description

Activation Date  

Expiration Date