Exercise - Use the Bank management workspace
In this exercise, you will explore the Bank management workspace.
Instructions
- Go to Cash and bank management > Workspaces > Bank management.
- Under the Balance section, in the Select bank account field, select All bank accounts.
- At the bottom of the chart control, click All.
- Select the Refresh icon next to the Last update field to refresh the chart control.
- View the result.
- Select the All bank accounts tile. This shows the bank accounts list page.
- Select Balance in the Action Pane. Here you can see the balance for the selected bank account.
- Select Related information > Bank Transactions. Here you can see all posted transactions for the selected bank accounts.
- Select a bank account.
- Select Voucher. Here you can see all vouchers for the selected bank account.
- Select Transaction origin to see where this transaction was originated from.
- Close the page.
- Select Accounting source explorer and review the details.
- Select Export, to save it locally, or to OneDrive or SharePoint.
- Select Cancel.
- Close the Accounting source explorer page.
- Close the Voucher transactions page.
- Close the Bank transactions page.
- You should now be back on the Bank accounts page.
- Select the Manage payments tab on the Action Pane.
- In the Deposits group on the Action Pane, click Deposit slips to view existing deposit slips.
- Close the Deposit slips page.
- Close the Bank accounts page.
- On the Bank management workspace, select Related information > Bridged transactions in the Related information section to view existing bridged transactions.
- Close the page.
- In the Related information section, click Bank transactions, note that you are directly navigating to the Transactions page.
- Close the page.
- Select Bank account transfers.
- In the Show field, select Posted to see posted transactions.
- Select the row for any of the posted journals.
- Select Lines to view the journal lines.
- Close all pages.