Committing a Cash Box Run
Before executing an invoice run, ensure that all air waybills are correct and
verified. The run uses the value entered in the Account Date of
the AWB to determine which AWBs are included in the run.
- Navigate to the Report Menu screen. Click .
-
Expand Accounting. You can do this by double-clicking a
category preceded by a
. Clicking the node icon (
) also expands or collapses the category.
- Select and double-click Daily Cash Box Run (_DAILY_CBX_RUN).
- Select the desired accounting run from the Previous Runs table. You can do this by clicking the accounting run row.
- Click Commit Run.
- In the warning message window, click OK to commit the run.