You use the Advantage Financial Cash Receipt (CR) document to record and process:
Money collected as earned revenue (this is the most common use)
Money collected as unearned revenue
Prepayments
Overpayments
Refunds from vendors
In addition to supporting the Cash Receipt document itself, the Cash Receipt process area helps you streamline your payment management needs by:
Generating deposit slips
Supporting deposit reconciliation
Handling processing for payments returned for non-sufficient funds (NSF)
Allowing Reference Type to be set manually
This section of the user guide includes information on the following areas: