Skilled Nursing Facilities

Cash Receipts Journal

The Cash Receipts Journal provides a breakdown of all deposits made throughout the month by GL account. Use this report to compare the actual deposits made to the bank, and validate that all cash receipts are posted.

  1. Admin > Reports > Cash Receipts Journal.

  2. To generate another period, select Period, and select the Month and Year

  3. Click to Remove this option if you do not want to include the summary.

  4. Click to sort the report information by Posting Date.

  • Month End Close Reconciliation.

    • At month end, include the Detail and Summary options.

    • Compare this report to actual deposits made to the bank.

    • If you maintain a facility/building cash log, compare this report to verify that all cash is entered correctly.

    • Validate totals with the AR Reconciliation and Journal Entries reports.

    • Subtract any miscellaneous cash in the Cash Receipts section of the Journal Entries report to compare and agree to the AR Reconciliation report. If there is a variance, you may find it using this method: Use CTRL+f in the Cash Receipts Journal, and search for the variance amount. You can then look at a batch, and determine what the entry issue is.

    • After a period is closed, this report remains static for the period selected, and there is no need to print a hard copy of the report for historic reference.

  • EFT transactions are included in the Cash Receipts Journal Report.