"Pending cash balances" tab
If you have licensed the "Pending cash balances" add-on for a bank, proceed as follows to work with pending cash balances:
- In the "Bank" area on the left of the "Settings" window, click the corresponding bank.
- Then switch to the "Reconciliation" tab and then to the "Pending cash balances" tab.
- Select the "Pending cash balances active" checkbox.
- Below, you can specify the date. The default setting is the posting date. To switch to value date or the import date, select the corresponding option.
- Below, you can enter the exact number of days for the postponement of certain transactions or set this by using the arrow icons. The following individual transactions are available:
- Purchase/sale
- Final maturity
- Dividend
- Fund distribution
- Security interest
- Tax postings
- Other
- Then confirm your entries with "Apply".