Cash - Controlled Account or Not

SOLVED

I am trying to get an idea of best practices for bank accounts in X3.  We are coming from Sage 500 where there is a Cash Management module and implementing Sage X3, where there is not.  Our partner believes we should not make our cash account a control account due to having to set up BPs for each one (we have over 250). 

Since all of our cash accounts use the same g/l account, the way we would designate the bank account in a journal entry would be by using the journal code and that this would cause the journal line to be available for bank reconciliation purposes.  Since in every other ERP I have worked with, cash has been a control account I am having a hard time getting my head around this practice.

Also, using a specific journal code for each bank account would make it necessary to employ the use of a clearing account just to do a bank transfer entry (i.e., one journal to move funds out of bank account A offset with the clearing account and a second journal to move funds into bank account B offset with the clearing account).  In my experience, clearing accounts tend to be a reconciliation nightmare.  We have around fifty companies so that would be fifty more accounts to reconcile.

I would be interested in hearing from companies that use BPs to handle their bank transactions with the Cash g/l account being a controlled account and also from those who don't have Cash set up as a controlled account and how they make their journal entries to allow bank reconciliation.  What are the pros and cons.

Thank you very much for whatever insights you can provide.

Cindy

  • 0
    verified answer

    I would like to tell that your partner is right, but maybe haven't explained in details the idea of not making your cash account as a control account.

    The reason from my knowledge is very simple. It will not be possible to enter any payment/receipt for such cash account with control account functionality enabled, because standard system doesn't support such cases.

    Standard X3 support only one BP per payment/receipt record, and this BP is designed for accounts receivable/payable purpose, not cash account purpose. Hope this will help you at least a little!

  • 0 in reply to G@G

    Thank you for your reply.  That's not how it has worked in other ERP systems I have worked with (Peoplesoft, Sage 500, Workday and Great Plains), but I guess it is what it is.  I've come across other things with X3 that makes me scratch my head and this isn't the worst.

    Thank you for taking the time to help me out.