This application is used to maintain Client Ledger accounts. For further information see the subtopics.
Jump To Report Style Report Style Features Final Report What is CLIST All documents posted to accounts in the Client Ledger can be viewed using CLIST. CLIST is the Client Ledger reporting tool; it provides ...
What is CCR This procedure is used to produce several styles of control reports for Open-Item accounts only i.e. not CLI .T type:- a) standard aged debtors/creditors, there are many variances of style/content see Field ...
This is the document matching procedure for Client Ledger accounts. For further information see the subtopics.
What is USI This report is a simple listing of client postings that have not been cash matched reporting selected document types e.g. SI, CN, DN,. The report provides a chase list in value date ...
What is RPDC This procedure provides several variations of payment due lists and receivables due. These reports are only available for CLI type P and S accounts, not .T style. They are fixed format layouts ...
What is Statements can be produced on a regular or ad-hoc basis for any CLI account. The CLI account must be setup as statements are wanted before CSP will produce them. The statement style is ...
What is MATT CLI accounts that are setup as T style are operated as balance carried forward and as such do not utilise cash matching to complete their reconciliation. However some operations find it useful ...
What is SUPER This enquiry collects CLI static and combines with various performance data. This is a very specialist MLP procedure.
Create cash receipts through import files
Cash matching process with facility to identify matched items through an import file