Reviewing customer adjustments
- Sign in as Receivables Specialist or Receivables Manager.
-
For Receivables Specialist, select Cash Application > Review Applications > Customer Adjustments.
For Receivables Manager, select Processing > Cash Application > Review Applications > Customer Adjustments.
- Select a record.
-
Click Select on the Adjustments tab and specify this information:
- Reason Code
- Select the new reason code for the Application Adjustment.
- Dispute Code
- Select the new dispute code for the Application Adjustment.
- Post Date
- Select a Global Ledger posting date.
- Description
- Optionally, specify a description.
- Account
- Specify an account information for pending adjustments.
- Optionally, update the selected record's Action Code.
- Select Remove Pending Adjustments to delete the Receivables pending adjustment.
- Select Process Pending Adjustments to complete the selected record.