Understanding Cash Receipt Reversals
Cash receipt reversals are necessary in several situations, such as when payments bounce due to insufficient funds, when payments are applied to incorrect invoices, or when data entry errors need correction. The reversal process ensures that your accounting records remain accurate and your AR balances properly reflect the current state of customer accounts[6].
Prerequisites
Before beginning the reversal process, gather the following information:
- Original cash receipt details
- Customer information
- Invoice numbers affected
- Original deposit date
- Original check number
- Bank code information
Step-by-Step Reversal Process
Initial Navigation
Begin by accessing the cash receipts entry screen in Sage 100:
- Navigate to Accounts Receivable Main menu > Cash Receipts Entry[7].
- If Batch Processing is enabled, you'll see the Cash Receipts Entry Batch window[3].
- Enter the batch number if required and click Accept[3].
Creating the Reversal Deposit
In the Cash Receipts Deposit window:
- Enter a new deposit number or click the Next Deposit Number button[4].
- Provide a clear description indicating this is a reversal[7].
- Select the appropriate bank code[7].
- Enter the deposit date (use the same date as the original receipt for proper tracking)[4].
- Enter the cash deposit amount as a negative value[3].
Header Information
On the Header tab of the Cash Receipts Entry screen:
- Select the customer number from the original receipt[4].
- Choose CASH as the deposit type[4].
- Enter the original check number (consider adding "REV" or similar notation)[6].
- Enter the amount received as a negative value matching the original receipt[3].
Line Item Processing
Switch to the Lines tab to process the reversal:
- Select the invoice(s) that were paid with the original receipt[3].
- Verify that the negative amount appears correctly[7].
- Ensure all affected invoices are included in the reversal[6].
- Click Accept to save the entry[7].
Updating the System
After entering the reversal:
- Print the Cash Receipts Journal[6].
- Review the Daily Transaction Register (DTR)[6].
- Update the cash receipts batch[6].
- Verify that the customer record now reflects the correct balance[6].
Special Scenarios
Zero Amount Cash Receipts
When dealing with payment reallocation:
- Create a zero cash receipt using the original dates and check number[4].
- Enter the incorrect invoice with a negative amount[4].
- Enter the correct invoice with a positive amount[4].
- Process the entry as normal[4].
NSF Checks
For bounced checks:
- Follow the standard reversal process[6].
- Consider adding NSF fees if applicable per your company policy.
- Document the reason for reversal in the description field.
Verification and Reconciliation
After completing the reversal:
- Review the GL impact to ensure proper posting[8].
- Check the customer's account to verify the correct balance[6].
- Confirm that the bank reconciliation reflects the changes[1].
- Document the reversal for audit purposes[2].
Best Practices
Documentation
Maintain proper documentation by:
- Recording the reason for reversal
- Keeping copies of related correspondence
- Noting any special circumstances
- Maintaining an audit trail of the transaction[2]
Timing Considerations
Process reversals promptly to:
- Minimize accounting discrepancies
- Maintain accurate customer balances
- Ensure timely financial reporting
- Facilitate proper month-end closing
Common Issues and Solutions
Batch Control Discrepancies
If you encounter batch control issues:
- Verify that the batch number is correct
- Ensure the deposit amount matches the transaction total
- Check for any system locks or user access issues
Posting Period Problems
When dealing with posting period challenges:
- Verify that the posting period is open
- Ensure you have proper permissions
- Check the fiscal year settings
System Requirements
To successfully process reversals:
- Appropriate user permissions must be assigned
- The correct posting period must be open
- Batch processing settings must be properly configured
Impact on Financial Statements
Understanding the effects on financial reporting:
- AR aging reports will reflect the reversal
- Cash position reports will show the adjustment
- Customer statements will display the reversed transaction
Troubleshooting
If issues arise during the reversal process:
- Verify all required fields are completed
- Ensure the posting period is open
- Check for system locks
- Confirm user permissions are adequate
Regular Maintenance
To ensure smooth processing of reversals:
- Regularly back up your data
- Keep posting periods current
- Maintain organized documentation
- Review audit trails periodically
Training and Support
Consider these resources for additional help:
- Internal documentation and procedures
- Sage 100 support services
- Certified consultants and trainers
- Online learning resources
The ability to properly reverse cash receipts in Sage 100 is crucial for maintaining accurate financial records. By following these detailed steps and best practices, you can ensure that your reversals are processed correctly and your accounting records remain precise and up-to-date. Remember to always document your actions and maintain proper audit trails for future reference.
Citations: [1] https://www.ardentconsultingllc.com/resources/reverse-wire-transfer-and-reissue-wire-transfer-in-sage-100-a-step-by-step-guide [2] https://www.greytrix.com/blogs/sageintacct/2020/01/28/reverse-ar-payments/ [3] https://help-sage100.na.sage.com/2018/Subsystems/AR/ARPROCED/REVERSE_A_CASH_RECEIPT_ENTRY.htm [4] https://www.ardentconsultingllc.com/resources/how-to-correct-a-check-applied-to-the-wrong-invoice-in-sage-100-cash-receipts-entry [5] https://www.rklesolutions.com/blog/sage-100-reverse-checks [6] https://www.dsdinc.com/2015/11/03/how-to-reverse-a-cash-receipt/ [7] https://www.top-sage-resellers.com/blog/how-to-reverse-a-cash-receipt-in-sage-100 [8] https://www.dwdtechgroup.com/sage-100-mas-90-200/how-to-reverse-a-general-ledger-posting-with-one-click-in-sage-100/ [9] https://www.rklesolutions.com/blog/sage-100-tips-tricks-how-to-reverse-a-cash-receipt