Deposit Details Form
You can use the Deposit Details form in two ways:
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If you set a deposit’s status to anything other than Reconcile By Deposit Detail on the Reconcile Statements form, the Deposit Details form lets you:
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View a list of the individual receipts that make up a selected deposit.
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Drill down to view a selected receipt in the original transaction entry form.
To drill down to the original entry, select the detail line, then click the Drilldown button (
) in the Receipt No. column heading.
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View the total amount of the deposit, as well as totals for the receipts you have cleared and the receipts that remain outstanding.
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If you set a deposit’s status to Reconcile By Deposit Detail on the Reconcile Statements form, the Deposit Details form lets you do everything listed above, and it also lets you:
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Reconcile individual receipts.
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Define default reconciliation settings (status, date, and description) to be assigned to receipts.
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To display the Deposit Details form during bank reconciliation:
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On the Reconciliation tab of the Reconcile Statements form, select a deposit that includes multiple receipts.
Note: If you want to reconcile receipts on the Deposit Details form, you must assign a status of Reconcile By Deposit Detail to the selected deposit.
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Click the Details button or press F9 on your keyboard.
For information about the fields on this form, click the Field List button at the top of this page.