AR: Cash Transfers

Overview

Managing your money is easy with Team's Cash Transfer program. Record the transfer of funds from one cash account to another, or from a Line of Credit or Investment account.

If you are printing a physical check to transfer funds, see Performing Cash Transfers Using a Physical Check.

Once the record is saved, the To Account creates a receivables record and reflects in the Check Register as a Deposit.

When you update a Cash Transfer, a payment record is created in Accounts Payable. This amount reflects in the Check Register as a Payment.

You may filter for information by the GL Cash Account, the From Date, and the To Date. You will only see records for which you have User Security authorization.

Key Functionality

Filter

You may filter for Cash Transfer records by the GL Cash Account Number, the From Date and the To Date.

The From Date will default to Today's Date - two weeks.

When a filter is applied, you will see navigation buttons at the lower left portion of the screen. You will only see records according to the User's security permissions.

Grid

Transfer Date

Use the Date field to enter the date when you are transferring funds.
A Date does not default, so type a new date, or use the Date Control to select a date.
You must enter a date that falls within the Accounts Receivable Valid Dates for Date Entry (Fiscal Year Setup).

Note:  You cannot change the Date, From Account or To Account field for a record that has been Posted or Updated to GL.

GL From Account

Use the From Account list to select the Cash Account you wish to transfer the funds from. Only the Cash Accounts that have been setup as Transfers (in the Cash Accounts Setup screen) display in the list.

You can double-click on the GL Account Number to open the Cash Accounts Setup screen.

GL To Account

Use the To Account list to select the Cash Account you wish to transfer the funds to. Only the Cash Accounts that have been setup as Transfers (in the Cash Accounts Setup screen) display in the list.

You can double-click on the GL Account Number to open the Cash Accounts Setup screen.

Transfer Amount

Use the Amount field to enter the amount of the cash transfer. Your entry must be greater than zero.

AP Payment ID

The AP Payment ID field is a read-only field.

Displays the corresponding AP payment record ID. You may double-click in the ID field to display the Payment record.

Posted

The Posted field is a read-only field.

If the record displays a "Posted" status, you may double-click on the word "Posted" to display the GL Log # the transaction was posted with.

Notes

Use the Notes field to enter any notes about this cash transfer record. If you enter more than one line of information, the system automatically wraps the lines of information for you.

Bank Info icon

You can hover over the bank info icon to see User Cleared, Date Cleared, User Reconciled, Date Reconciled, and Bank Statement Date provided the payment has been cleared or reconciled.

If the record has not been cleared or reconciled, the field will be grayed out.

If there is a R in a blue circle , the payment has been reconciled.

If there is a C in a blue circle , the payment has been cleared, but not reconciled.

The cleared and reconciled information is only for the TO account.

Related Information

Learn about Cash Accounts and Default Cash Accounts

Perform Cash Transfers

Perform Cash Transfers Using a Physical Check

Accounts Receivable topics

Accounts Receivable Menu