There are several Accounts Receivable screens you can use to complete the types of processing you do at specified intervals, such as at month end or period end, and to clear out obsolete data and records.
Here is an overview of periodic procedures you might follow:
Use the screens in the A/R Customers and A/R Setup menus to revise these records.
Use the A/R Create Recurring Charge Batch screen to create each batch.
Use the A/R Invoice Entry screen to manually add retainage invoices, debit notes, and credit notes. Select the Retainage option on the Details tab, then select Retainage Invoice, Retainage Debit Note, or Retainage Credit Note as the document type.
Use the A/R Create Retainage Batch screen to create batches automatically. You can also add retainage invoices, debit notes, and credit notes manually through the A/R Invoice Entry screen. (Select the Retainage option, then select Retainage Invoice, Retainage Debit Note, or Retainage Credit Note as the document type.)
Use the A/R Invoice Entry screen and the A/R Receipt Entry screen.
Use the A/R Customer Transactions report and A/R Aged Trial Balance report in the A/R Transaction Reports menu to print the reports.
Use the A/R Create Interest Batch screen in the A/R Periodic Processing menu to create interest batches or use the A/R Invoice Entry screen to add interest charges one at a time.
Use the A/R Statements/Letters/Labels report in the A/R Customer Reports menu to print statements.
Use the A/R Revaluation screen.
Print the G/L Transactions List, and then process the batches in Sage 300 General Ledger, if you use it, or post them manually to your other general ledger. Use the A/R G/L Transactions report in the A/R Transaction Reports menu to print reports of the transactions.
Use the A/R Clear History, A/R Delete Inactive Records, and A/R Clear Statistics screens to clear this information.