O2VEND Documentation
  • Tutorials
Search Results for

    Show / Hide Table of Contents
    • Getting Started
    • O2VEND Store
      • My Stores
        • Create Store
      • My Account
        • My Profile
        • Manage Billing
        • Support Desk
    • Dashboard
      • Dashboard
    • Orders
      • Quotation
      • Request For Quotation
      • Sales Order
      • Work Order
      • Purchase Order
      • Subscription
      • ActiveCarts
    • Vouchers
      • Sales
        • Manage Sales
        • Create Sales Invoice
        • Cancel Sales Invoice
        • How to create GDN(Goods Delivered Note)
        • How to add lot for products in GDN
        • How to view sales details
      • Services
        • Services
      • Purchase
        • Manage purchase
        • Create Purchase Invoice
        • Cancel purchase Invoice
        • How to create GRN(Goods Received Note)
        • How to add lot for products in GRN
        • How to print a barcode label in purchase
        • How to view purchase details
      • Credit Note
      • Debit Note
      • Receipt
      • Payment
      • Journal
      • Contra
    • Inventory
      • Stock Quantity (Alt+I)
      • Stock History
      • Print Barcode Label
      • Delivery Challan
      • Receipt Challan
      • Stock Transfer
      • Manufacturing Voucher
      • Stock Take
      • Incoming Packages
      • Outgoing Packages
    • Catalog
      • Product
      • Brand
      • Categories
      • Option
      • Attributes
      • Attributes Categories
      • Attributes Templates
      • Price List
      • Bulk Product Price update
      • Bulk Product Updates
      • Sku Rules
      • Pricing Rules
    • Parties
      • Customers
      • Customer Groups
      • Supplier
      • Supplier Group
    • Inbox
      • SMS
      • E-Mail
      • Whatsapp
      • Configuration
    • Accounting Books
      • Ledgers
      • Chart of Accounts
      • Day Book
      • Cash Book
      • Sales Book
      • Purchase Book
      • Account Group Book
    • Reports
      • Order Reports
        • Web Orders Progress Report
        • Back Order Items Report
        • Purchase Order Pending Item Report
        • Sales Order Pending Item Summary
        • Sales Shipping Status Report
        • Sales Order Summary
        • Sales Order Progress Report
        • Purchase Order Progress Report
        • Sales Order with Product Line Item Report
        • Sales Order Packing Sheet Report
        • Back Order Report
        • Purchase Order Summary
        • Sales Order Shipment Report
        • Sales Order Shipping Address Report
      • Sales/Purchase Reports
        • Sales Invoice Report
        • Sales Invoice Summary
        • Sales Items Summary
        • Purchase Invoice Report
        • Purchase Invoice Summary
        • Purchase Items Summary
        • Receipt Report
        • Daily Settlement Report
        • Contribution Margin Report
        • Agent Sales Report
        • Agent Report
        • Employee Sales Report
        • Employee Report
        • Employee Product Sales & Commission Report
      • Supplier Reports
        • Supplier Report
        • Supplier Purchase Report
        • Supplier Detail Report
      • Inventory Reports
        • Stock Summary
        • Stock Valuation Summary
        • Stock Ageing Report
        • Location Summary
        • Stock Movement Summary
        • Stock Ledger Report
        • Stock/Location Summary
        • Stock Movement And Valuation Summary
      • Products
        • Sold Product Categories
        • Product Category Summary
        • Product Sale Summary
        • Category Sale Summary
        • Brand Sale Summary
        • Reordering Stock Summary
        • Price Movement
        • Product Seasonal Demand
        • Product Stock Analysis Report
        • Stock Projection Report
      • Pos Reports
        • Cash Register Summary
        • Current Cash Registers
      • Account Reports
        • Day Book
        • Ledger
        • Cash Book
        • Sales Books
        • Purchase Books
        • Daily Sales and Payment Report
        • Balance Sheet
        • Profit and Loss Report
        • Trial Balance
      • Miscellaneous Reports
        • Output Detailed Tax Report
        • Output Tax Report Summary
        • Account Receivable Report
        • Account Payable Report
        • Gross Profit Report
        • Daily Tax Report
        • GSTR-1 Report
        • External API Logs
        • Benefit Usage
        • Offers Usage
        • Coupon Usage
        • Configuration Change History
        • VisitLog
    • Tools
      • Import
      • Export
    • OnlineStore
      • Themes
      • Theme Data
      • Shipping Methods
      • Payment Methods
      • Currency
      • Reviews
      • Zones
      • Delivery Zones
      • webstoreContentsSettings
        • Site Pages
        • Site Menus
          • Main Menu
          • Site Menus
        • Home Page Components
        • Page Header
        • Blog Categories
        • Blog
        • News Letter Subscription
        • menus
          • Main Menu
          • Site Menus
    • Analytics
      • Visitor Analytics
      • E-commerce Analytics
      • Product Analytics
      • Campaigns Analytics
    • Settings
      • Settings
      • Business Settings
        • Business Details
        • Tax Classes
        • Tax Rates
        • Operating Countries
        • Operating State or Province
        • Branches
        • Sales Channels
        • Return Rule
        • Backoffice Print Detail
        • Download Template
      • Point Of Sale
        • Quick Add Buttons
        • Print Settings
        • Payment Methods
        • Delivery Settings
        • Language
      • Agent App
        • Agent App Print Details
      • Inventory
        • Unit Of Measure
        • Location
        • Unit Of Measure Conversions
        • Stock Levels
        • Sub Location
        • Print Barcode Label Settings
        • Package Material
      • userSettings
        • vendors
        • User Date Setup
        • Employees
          • Set Up Employee Roles
          • Ecommerce
          • Point Of Sale
          • Back Office
          • Sales App
        • Vendors Commission
        • Credit Rules
        • Automatic User Code
      • Loyalty and Promotions
        • Reward Points
        • Coupons
        • Gift Vouchers
        • Offers and Discounts
        • Benefits
        • Affiliate
        • Coupon Print Setting
      • Account
        • Financial Year
        • Voucher Numbering
        • Sales Account Map
        • Voucher Numbering Rules
    • Features
      • General
      • POS
      • Webstore
      • Integration
    • Integration
      • General
      • Phonepe
      • Paytm
      • Stripe
      • Cashfree
      • Paypal
      • Razorpay
      • Shiprocket
      • Shipway
      • Amazon Shipping
      • O2VEND Webhook
      • Sendgrid
      • MSG91
      • Amazon SES
      • reCAPTCHA
      • E-invoice
      • Shopify
      • Facebook Catalog
      • Whatsapp
      • Typesense
    • Profile
      • My Profile
    • Manage Physical Stores
      • Login
      • Sales Bill
        • Manage sales orders
        • How to add products to a customer's shopping cart
        • How to apply discounts/coupons
        • How to search products in Sales Screen
        • How to add products quickly to the Cart
        • How to add serial and lot number
        • How to Print sales bills in POS
      • Receive Payments (Receipts)
      • Delivery
      • Invoice Receipts
      • Manage Cash Register
      • Reprint
      • Dashboard
      • POS Offline
      • Stock Transfer
    • O2VEND App
      • Install O2VEND App
      • Home
      • Customers
      • Orders
      • Products
      • Receipts
      • Stock Movement
    • Webhooks
      • Webhook
      • Examples of JSON format data via webhook
      • Testing webhook

    Cash Book � Detailed Functional Guide

    Introduction

    The Cash Book is a core accounting register that tracks all cash-related financial transactions within an organization. It records every cash receipt and cash payment in chronological order and acts both as a journal and ledger for cash transactions. By maintaining a clear view of cash movement, the Cash Book helps monitor liquidity, validate financial activity, support reconciliation with physical cash, and maintain transparency in financial control.

    Unlike other accounting registers that show a wide range of financial activities, the Cash Book focuses specifically on transactions involving cash accounts, making it essential for cash-based business operations and real-time tracking of available funds.

    Purpose of the Cash Book

    The Cash Book ensures that:

    • All cash receipts and payments are recorded accurately
    • The business maintains a clear and traceable history of cash movement
    • Actual cash balance can be matched with the system-generated balance
    • Financial discrepancies, if any, are detected early
    • Audit and control requirements are fulfilled

    The Cash Book contributes to maintaining strong operational and financial discipline in daily business activities.

    Importance in Accounting Workflow

    The Cash Book forms a foundational element of the accounting cycle. The transactions recorded here directly impact:

    • Ledger valuations
    • Trial balance accuracy
    • Cash flow statements
    • Overall financial reporting

    Ensuring accurate entries in the Cash Book guarantees that all related financial reports remain reliable and reflect true business performance.

    Accessing the Cash Book

    To view the Cash Book in O2VEND:

    1. Open Accounting Books
    2. Select Cash Book
    3. Choose the required date or date range
    4. Apply the filter to load the report

    Once executed, the system displays all cash transactions within the specified time period.

    Information Displayed in the Cash Book

    Each entry in the Cash Book provides a detailed view of a cash transaction, including:

    • Transaction date
    • Voucher type (Receipt, Payment, Journal, Adjustment, etc.)
    • Reference or voucher number
    • Ledger accounts involved
    • Cash received amount
    • Cash paid amount
    • Narration or additional notes

    The closing balance of the cash account is also displayed, helping verify available cash at any point.

    Types of Cash Book Entries

    Cash Receipts

    These represent incoming cash transactions, such as:

    • Sales collected in cash
    • Customer advance payments
    • Refunds received
    • Other cash deposits or collections

    Cash Payments

    These represent outgoing cash transactions, including:

    • Supplier or vendor payments
    • Operating expenses
    • Salary payments
    • Other cash withdrawals

    The Cash Book ensures both receipt and payment entries are posted in a structured and auditable format.

    Filtering and Data Refinement

    The Cash Book offers filter options that allow users to isolate and review specific entries. Filters can be applied based on:

    • Date or date range
    • Voucher category
    • Ledger account
    • Transaction reference number

    These filters support targeted analysis, such as viewing only cash payments for a specific period or reviewing cash movement against a particular ledger.

    Cash Balance Verification

    One of the primary functions of the Cash Book is validating cash balance. It allows businesses to:

    • Compare system cash balance with physical cash on hand
    • Detect missing or incorrect entries
    • Identify duplicate postings or unrecorded payments
    • Ensure the business follows proper financial control

    If the closing balance does not match expected cash figures, further inspection can be carried out through ledger statements, transaction drill-down, or supporting documents.

    Drill-Down Access

    Transactions in the Cash Book may permit drill-down access to source vouchers or invoices. This capability supports:

    • Audit review
    • Expense validation
    • Receipt confirmation
    • Month-end reconciliation
    • Detailed examination of payment or receipt entries

    This ensures that every amount posted in the Cash Book can be traced back to a proper supporting record.

    Business Use Cases

    Daily Cash Monitoring

    Provides instant clarity on the day�s cash transactions and ensures no inflow or outflow is missed.

    Operational Spending Control

    Helps track cash expenses and prevents overspending by maintaining real-time visibility into cash balance.

    Audit and Compliance

    Organizes cash transactions in a structured, report-ready format, making compliance checks easier.

    Liquidity Analysis

    Supports quick evaluation of cash availability needed for:

    • Purchases
    • Operational expenses
    • Financial commitments

    Fraud Prevention

    A clean, consistent Cash Book reduces the risk of unrecorded or unauthorized cash movement.

    Export and Documentation

    Depending on system configuration, the Cash Book can be exported for:

    • Accounting review
    • Compliance reports
    • Auditing purposes
    • Record keeping

    Exporting helps maintain long-term official documentation of cash movement.

    Relationship with Other Reports

    • Ledger: shows account-wise impact of cash transactions
    • Journal Register: groups entries based on voucher type
    • Day Book: shows all transactions including cash and non-cash
    • Trial Balance: validates debit and credit totals system-wide
    • Financial Statements: high-level view of cash position and overall business health

    Accurate Cash Book posting ensures consistency across all dependent financial reports.

    Advantages of the Cash Book

    • Continuous and transparent tracking of cash movement
    • Helps maintain accurate cash balance at any point
    • Supports error detection before affecting major financial reports
    • Essential for financial control, reconciliation, and auditing
    • Improves decision-making by providing real-time liquidity awareness
    • Builds accountability and traceability of cash transactions

    Conclusion

    The Cash Book is essential in maintaining accurate and controlled financial operations. By providing a chronological, detailed record of cash receipts and payments, it ensures that cash balances remain reliable, auditable, and aligned with business accounting standards. It forms the backbone of cash management and supports critical financial reporting across the organization.

    • Edit this page
    In this article
    © 2019–2025 Jeyan Technologies Private Limited • www.o2vend.com • Create your own store