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- From the Accounting Center window, select Reconciliation in the left navigation.
- Click Cash Recon.
- Click Administrative.
- Double click Cash Recon Console.
You see the Cash Recon console.
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Cash Recon Console OptionsThe following are the key options on the Cash Recon console toolbar.
Option | Description |
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File | Allows you to print query results. Options include: - Print Preview. Displays the Print Preview dialog box for the selected Query Result.
- Print. Prints the current query result using the default printer.
- Export. Exports the current query results as an Excel worksheet or text file.
- Exit. Stores your local profile and exits the Cash Recon console application.
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Edit | Allows you to reconcile breaks displayed in query results. You must select the Query Cash Recon Exceptions results tab to enable this option. Options include: - Override Left Side
- Override Right Side
- Post Cash Adjustment
- Cancel Cash Adjustment
- Approve
- Audit Action
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Find | Allows you to search any column result for a matching character string value. |
Tools | Allows you to submit message streams, purge tables, and format results. Options include: - Load STAR Cash Activity. Allows you to submit message streams that load the CASH_TXN work table with either Pre-Settled ("Receivables/Payables") or Settled ("Cash Transactions") cash activity from Eagle STAR.
- Load Custodian Data. Allows you to submit message streams that load the CUST_CASH_TXN work table with cash activity from an external source.
- Run Match Now. Allows you to submit message streams that reconcile cash activity. The stream name is defined in the MSGSERVICE.INI file by the MatchStream parameter or the MatchStreamWH parameters.
- Run Cash Assignments. Allows you to submit message streams to assign cash breaks to users.
- Purge Cash Recon Data. This option is not in use. You must use the Purge and Archive Tool to purge records from work tables.
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View | Allows you to customize the view of query results. You must select a Query Result tab to enable this option. Options include: - Show Audit History
- Hide Audit Area
- Show Events F4
- Expand All
- Collapse All
- View Row F3
- Grid Filtering
- Auto Width
- Refresh F5
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Window | Allows you to navigate across open windows launch Eagle applications such as Position Recon, Trade Recon, Issue Viewer, Book Trade, and Rebook Trade. Options include: - Close All. Minimizes all available reports.
- Check
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()- . Displays a check mark indicating the current, available report, including: ESTAR Cash Transactions, Cash Cust Txn/Cash Txn, Data Warehouse, Warehouse Cash, Cash Recon Exceptions, Cash Recon Results Summary, and Total Cash Summary.
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Help | Displays the application build, server, and version information. |