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How does the Perform cash level validation during AP and JE entry calculate

How does the Perform cash level validation during AP and JE entry calculate

Description of Issue

How does the Perform cash level validation during AP and JE entry calculate?

Context
  • General Ledger Settings
  • Chart of Account Segments
  • A/P Cash Control Account
Cause
Perform cash level validation during AP and JE entry setting within General Ledger Settings.
Resolution
  1. Browse to Financials  > General Ledger Menu > Set up chart of accounts > General Ledger Settings
  2. confirm if option Perform cash level validation on AR and JE entry Setting is defined" is selected
    • When this setting is selected the Fund Cash Validation Calculation would apply
    • Calculation: Fund Cash Amount – Fund AP Amount – Proof Journals/Invoices – Entered Line Amount
Additional Information
  • This instructs Munis programs to verify cash levels at the time a record is entered.
  • If the cash level is insufficient, and your user role has not been assigned override permissions, the program does not allow the record to be completed. 
  • Each fund will look to its own A/P Cash control account defined Balance Sheet in Account Master unless pooled cash account is listed on fund setup.
  • Chart of Account Segments (COAS) for the fund setup has a Pooled Cash Account field. 
    • If defined it should tell Munis to use this fund's A/P Cash account to calculate





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