To update selected details on an "In Progress" cash entryA record of money received from, or refunded to, your customers, often in the form of cash or a check. Also used to record payments to and refunds from vendors., click Edit on a cash entry detail or list page, at any time prior to posting, and then change the fields you want to update.
See Cash Entry Fields for a full description of the standard fields that make up a cash entry.
To amend (add, edit, or delete) the contents of the following set of fields on a posted cash entry, either:
The changes that you make are also automatically reflected in both the related transactionA record created when documents are posted to the general ledger. Transactions must balance (sum to zero) in home, dual, and document currency. and the appropriate balances. The type of balances that are updated automatically depend on how your organization has been configured.
Related Concepts
Related Tasks
Entering Cash Receipts and Refunds
Entering Payments to Vendor Accounts
Overriding Exchange Rates When Creating Cash Entries
Posting Multiple Documents with OneTouch
Reference