Accountant's Assistant Handbook



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Retrieval options 
Before you retrieve accounts receivable transactions into Accountant’s 
Assistant, you can choose to retrieve detailed or summary receivable 
journal entries.  
Cash-basis client 
To designate the client as a cash-basis client for receivable transactions, 
mark this checkbox. If this checkbox is not marked, the program treats 
the client’s accounts receivable data as accrual-basis.  
CBS Accounts Receivable will not create a journal entry for the 
receivable amount at export for a cash-basis client, and items in the Sales 
Journal in CBS Accounts Receivable will print according to the date the 


 
Client Setup in Accountant’s Assistant 
Accountant’s Assistant Handbook 
73 
payment was received instead of the date of the invoice. A cash-basis 
accounts receivable client may choose to manually apply partial payment 
distributions, but this option is not available to an accrual-basis accounts 
receivable client. 

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