Integration of Cash with other Infor applications

This table shows the interaction between Cash and other Infor applications:

Application Description
Global Ledger Journal lines are created in this application for bank account transaction entries and reconciliation adjustments that you create in Cash.
Payables Payment records and bank service charges are sent from Payables to the Cash Payment file.
Receivables Deposits, adjustments (service fees, for example), and return to maker (RTM) transactions are sent by Receivables to the Cash Payment file.
Franchise Billing Cash codes from Cash are sent to franchisers for company bank accounts where prepayments are posted from Franchise Billing.
Non-Infor applications You can use Cash to receive bank transaction data from a non-Infor application. This includes accounts payable cash payments.