Sign in as Cash Accountant and select Cash Transaction Search.
On the Cash Ledger
Transactions tab, search for the payment to
reconcile.
Click the Reconcile button and complete the
reconciliation date, reconciliation amount, and a comment.
Click OK.
The transaction status is changed from Released to Reconciled.
To create a record in Cash Ledger Distribution, select Process Cash Ledger > Cash Ledger Distributions.
Distributions are created when payments are reconciled. Cash Posting
Account (suspense) is reversed (debited) and Reconciliation Account
(Cash Account) is credited.
Journalize Cash Ledger Distribution:
Select Process Cash Ledger > Cash Ledger Distribution. Search for the reconciled payment.
Click the Journalize
Distribution button and specify the required
parameters.
Click OK.
Cash Ledger Distributions is journalized and Journal Control is created.