Finance User Manual ENG -> 3. Payments -> 3.3 Finance Payments and Registers -> LUFI-30302 Cash Registers

LUFI-30302 Cash Registers

LU Introduction

Now that you understand the concept of a register, let’s take a look at the various fields and buttons of the cash register form. In the {Cash Registers} search view, click on the pencil of the register to open the form. The header fields are displayed as follows:Header fields of a {cash register} form

Title of fieldEntry protocol: cash register formSource for Information
Register NameSystem defaultJournal from which it was created
Proprietary InstanceSystem defaultUniField instance or database
JournalSystem defaultJournal from which it was created
ResponsibleSystem defaultUser who has created the journal
PeriodSystem defaultCurrent month in which the journal was created

Currency
System defaultCurrency for which the journal was created
ButtonDescription
Automatically retrieves Draft or Temp-Posted Entries in a separate window to be Hard-posted
Opens a window to retrieve and import invoices (in the register’s currency) created by Supply or Finance, then automatically creates a payment in the register booked to payables/receivables and cash account
Automatically retrieves Draft Entries in a separate window to be Temp-posted
Opens a window to create a Direct Invoice for immediate payment and booking of multiple items to multiple expense codes. Direct invoices are not generated by Supply. One register entry is booked to payables/receivables and cash/expense accounts
Opens a window to list operational advances taken by the staff

Please note all of these topics will be covered in more detail in the specific sections related to their usage.

Three (3) tabs are located on the middle of the form. They are called the {Cash transactions}, the {CashBox} and the {Responsible}.

In the cash transactions, you will record manually or by importing register lines reflecting Cash In and Cash Out.

{Cash Transactions} tab

In the {CashBox} tab you will periodically carry out cash counts to confirm the cash balance in UniField is the same as the balance of your physical cash box.

{CashBox} tab

The {Responsible} tab reflects the list of authorized users to access the register.

{Responsible} tab

Finally, the lower half of the form shows the following fields:

Fields on lower half of a {cash register} form

Title of fieldEntry protocol: cash register form
Opening DateAutomatic input. System default to the date the register was opened
Closed OnAutomatic input. System default to the date the register was closed
Opening BalanceAutomatic input. Zero if it is a new register created from a journal or the closing balance of the previous period
Cash TransactionAutomatic input. The sum of the amounts in and out for all register transactions during the period
Calculated BalanceAutomatic input. Opening balance + sum of cash transactions
Unrecorded AdvancesManual input. For some sections not recording advances in UniField and tracked on a separate spreadsheet, the total amount of outstanding advances is manually entered here when performing cashbox inventory.
Unrecorded expensesManual input. The total amount of unrecorded entries is manually entered here when performing cashbox inventory
Theoretical BalanceAutomatic input. Calculated Balance – sum of unrecorded advances and expenses
CashBox BalanceAutomatic input. The physical cash balance in your cash box reported in the cashbox tab when closing the cashbox
GapAutomatic input. Theoretical Balance – CashBox Balance
CommentsEnter relevant remarks, e.g. reasons for gap
StateAutomatic input. Draft, Open or Closed

CASH REGISTER REPORTS

The Reports menu on the right side bar contains reports that can be run in Cash Registers.


For further information on reports, see UniField Chapter 5 – Searching, Correcting and Closing.

LUFI-30301 Register Entries Statuses
LUFI-30303 Cheque Registers