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Peresoft Cashbook is a powerful business tool that maintains your bank account and organizes your cash flow. Cashbook offers seamless integration to Sage Accpac ERP, complementing and enhancing your Sage Accpac ERP Accounting software.
Compatible With: Sage 300 ERP [Accpac], Versions 6.0 , 6.1 , 2014
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Price $1,150

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Peresoft Cashbook is a powerful business tool that maintains your bank account and organizes your cash flow. Cashbook offers seamless integration to Sage Accpac ERP, complementing and enhancing your Sage ERP Accpac Accounting software.

The following are features unique to Cashbook:

Bank Reconciliation is simplified, with all transactions on one screen.

Cashbook is date driven which allows you to select the date range you wish to view transactions for. The brought forward and carried forward balances will be recalculated by Cashbook taking the date range selection into account.

Transactions can be reconciled "on the fly" with the click of a mouse button; All Bank Balances can be viewed on one screen or printed ; All cash movement, either paying AP or AR invoices, is performed from one entry point; Reconciliation can be done by multiple fields and ranges; Cheque and Receipt Printing with automatic numbering and full audit trails; Cheques and receipts can be printed on line during batch entry.

·          Complete Sage ERP Accpac Tax Services integration.

·          Over 50 reports are provided, including a powerful Cashflow analysis.

·          Miscellaneous Customers and Vendors can be created for a turnkey solution.

·          Distribution Sets allow for quick entry to multiple expense accounts.

·          Cashbook's "smart finder" lets you search by name or description without any extra keystrokes.


One Central Point for Cash Processing

Enter all bank related entries in the same batch and the necessary entries for Sage Accpac ERP General Ledger, Accounts Recievable, Accounts Payable and Project and Job Costing will automatically be generated. Cashbook provides one audit trail on all cash movement for easier analysis.
The Cashbook posting process will generate the following batches in Sage ERP Accpac from the Cashbook batch entered:

·           General Ledger Batch

·           Accounts Payable Payment Batch

·           Accounts Receivable Receipt Batch

·           Accounts Receivable Refund Batch

·           Project and Job Costing Costs and Charges Batch


Allocate Payments and Receipts

Allocate Payments and Receipts directly against invoices entered in Sage Accpac ERP Accounts Recievable and Accounts Payable. The outstanding documents can be sorted by different sequences. When posting these transactions Cashbook will create the necessary Accounts Receivable Receipt and Refund and Accounts Payable Payment batches.


Bank Reconciliation Made Simple
Cashbook's versatile bank reconciliation function offers the user many different ways of processing their bank reconciliation. In the bank reconciliation function the user is also able to reverse transactions, do an adjustment on the fly and enquire on all transaction information entered in Cashbook.


Tick Off Entries in Bank Reconciliation Display
Cashbook displays cheques and deposits for direct reconciliation. With the click of a mouse or a single keyboard stroke the line is reconciled instantly and the bank balance updated immediately. You can display all details pertaining to a transaction posted to Cashbook, by double clicking on the row you wish to display.


Reconcile Using Quick Search
The search facility can be used to search for a Cashbook transaction using selected field criteria. You can search for a transaction by Reference/Cheque, Date, Description or Amount.


Reconcile by Field Criteria and Range
The user is able to select a range of transactions to reconcile using specific field criteria which include Reference/Cheque, Date or Description.


ZOOM into Cheques and Deposits to Enquire on Transaction Details
You can display all details pertaining to a transaction posted to Cashbook by clicking on the transaction in your bank reconciliation screen. Determine the exact batch entry, posting, reversal and adjustment details of any transaction in your bank reconciliation.


User Definable Forms

Print your cheques for vendors and customer refunds/receipts and deposit slips on-line or by batch.
On-line cheques and advices as well as receipts and deposit slips are produced using the batch entry window. After each entry is saved you have the option to print the information immediately.
Mult iple cheques/advices, receipts and deposit slips can be printed in one operation by using the Cashbook Print Forms function.
Cashbook's automatic numbering facility allows you to have up to 20 different numbering sequences for your cheques and receipts.  


Optional Fields

Optional Fields in the Cashbook batch header and detail section which feeds through to the General Ledger bank and distribution accounts, Accounts Payable and Accounts Receivable.


Tax Tracking

You are able to enter tax amounts for receipts and payments that are made directly into the Cashbook. When entering transactions the Cashbook will keep track of the tax amount and percentage for that reference. During the posting of a batch the Tax Services Tax Tracking Reoprt is updated.  


Powerful Import/Export Facility

Cashbook allows for the import of data from external systems as well as the export of Cashbook data to other systems. The batch import/export facility does not only allow for the import and export of transaction header and detail information, but also the allocations against outstanding documents in Accounts Receivable and Accounts Payable. Entries in the Cashbook transaction files can be exported via the Bank Reconciliation Export facility.


Bank Transfers

The Cashbook Bank Transfer feature allows for the transfer of funds between different banks.
When posting a bank transfer batch, a batch will automatically be created in the receiving bank.
Full currency information can also be entered if multicurrency is activated. If the transferring bank is in yen and the receiving bank in dollars, you are able to enter the exchange rate between these two currencies.


Deposit Batches

When creating a batch you are able to create deposit slips from all entries entered into one batch.
This feature is used if you wish to reconcile only one amount with one reference number when entering multiple receipts into Cashbook.
When posting a deposit batch the bank reconciliation is updated with one reference number and one amount (total of the batch) whilst the individual receipt details are retained for reversal and reference purposes.


Drill Down

Drill Down from General Ledger, Accounts Payable and Accounts Receivable batches to the Cashbook batch from which the entry originates.   

Industries: Banks & Credit Unions, Hotels, Resorts, & Clubs, Accounting, Legal, & Consulting, Commercial Establishment Supply & Service, Non-Industry Specific

Business Needs: Budgeting, Fund Management, Payroll, Check Processing, Payroll