Cash Journal posting is corrected — GL offset accounts, enterprise cost-centre tagging and a day-close notification email.
Cash Journal GL Offsets, Cost-Centre Tagging & Day-Close Email
Cash Journal transactions now resolve the correct GL offset account and carry the right enterprise cost-centre tag when they post, so cash movements land against the intended accounts. Closing a cash day now also sends a confirmation email summarising the day’s takings and any variance.