Entering cash using Cash Customer, Transaction Assignment
- Access Cash Customer, Transaction Assignment (AR21.2) and specify the cash batch number.
 - Specify the payment (check) number, the amount, and the customer number or invoice number associated with the payment. 
           Note: If you leave the customer number field blank and specify a transaction number, then the application will set the the customer number as default.
 - If applicable, associate the cash payment with a contract or contract activity (from the Project Accounting (AC) and Billing and Revenue Management (BR) applications), or with just an activity group. 
           Note: If you specify a contract, then the program derives the activity and activity group. If you specify a contract activity, then the program derives the contract and activity group.
 - Click More to open More (AR21.6).
 - Add prepayment information or select an alternate RNA account defined in the process level. Use these guidelines to specify the field values:
           
- Reference Type
 - 
              
Select the type of transaction: Order, Invoice, Debit, Credit, Mixed, Billing, Purchase Order, or non-Lawson.
Note: The currency of the payment must equal the currency of the invoice or open order. - Reference
 - 
              
Displays the Reference value.
 - Auto Apply
 - 
              
Select Y to auto apply then edit the customer as open item type processing.
 - Prepayment Code
 - 
              
Select the prepayment account.
 - Alternate RNA code
 - 
              
Select an alternate RNA account. If you entered a code in the Prepayment Code field, then you can not use this field.
 
Note: When entering remittance information, transaction type of I is used for both invoice and debit memos. - Click Remit to open Cash Remittance (AR21.4) subform.
 - Specify the remittance information such as transaction, transaction type, and remit amounts referenced on the payment. 
           Note: When you run Automatic Cash Application (AR130), the system will apply the payment to the noted transactions.
 - Click Totals to display totals for the batch, including the difference between the control and entry totals for a cash batch.
 - Click U(ser) to open Payment User Fields (AR21.9).
 - Specify user defined data in the fields. The information entered here is for reference only. The value of the field is defined on Company (AR01.1).