You can post 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. by clicking Post on the cash entry detail page.
In Classic EditionThe view of the application that you see when you first install the base managed package., the Save & Post button first saves the document then posts it in the same way as if you had clicked the Save and Post buttons separately.
When successful:
The cash entry is assigned a transaction number and the sum of these transaction line items is zero in document, home and dual currency. The posted cash entry is now "Complete" and can no longer be edited or discarded.
When you post an intercompany cash entry, the application also creates the appropriate intercompany transfer records. When this happens, a lookup to the related intercompany transfer is added to the corresponding transaction line items (and to the header where appropriate and the intercompany transfer is unique).
In Classic EditionThe view of the application that you see when you first install the base managed package., the Post & Match button does everything the Post button does but also initiates a cash matching session with the same account details preselected. This option is not available when posting a multiple cash entryCash entry with multiple account lines..
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