Posting miscellaneous cash

Miscellaneous cash is cash that is received, but is not related to a particular invoice. For example, a customer might send you a check to apply to their balance, but does not want you to apply it toward a specific invoice.

Note:  When you post miscellaneous cash in Customer Cash Receipt Entry to a bank with foreign currency, the CR amount is posted in the currency of the bank, not the domestic currency. The amount that you enter is the foreign currency amount, and that amount is displayed for the transaction in CR Check Center Entry. The GL postings are always in domestic currency. The currency exchange rate is applied to the GL amounts that you enter.
  1. Select Customer > Entry > Cash Receipt.
  2. Click OK to open a journal.
  3. Select Miscellaneous Cash in the Type field.
  4. Specify the check number, or specify 0 if you are receiving cash.
  5. Specify the amount.
  6. Click Next.
  7. Specify a bank.
  8. Optionally, specify the customer number.
    Note: This customer is for reference in Customer Inquiry only. Customer Setup is not updated.
  9. Click Next.
  10. In the Account field, specify the revenue account.
  11. Specify the cash account to be debited.
  12. Specify the amount to be credited.
  13. When the proof is 0.00, click Add.
  14. Click Finish, and then click Yes to confirm the update.
  15. When the transaction is complete, you are returned to the initial Transaction window. You can click Close to close the current GL journal, or enter another transaction in the current journal. If you close the journal, you must open a new journal if you enter a new transaction.