---
title: "Cashbook Entries"
slug: "cashbook-entries"
description: "Learn about Cashbook Entry in Marlin GTX trusted automotive software by Megabus."
updated: 2025-12-04T04:13:37Z
published: 2025-12-04T04:13:37Z
canonical: "help.megabus.com.au/cashbook-entries"
---

> ## Documentation Index
> Fetch the complete documentation index at: https://help.megabus.com.au/llms.txt
> Use this file to discover all available pages before exploring further.

# Cashbook Entries

**{{variable.GTX Bold}}** uses Cashbook entries record transactions that do not relate to customer sales or supplier purchases.

Unlike customer or supplier transactions, which are posted to the general ledger at End of Day (EOD), cashbook entries **post directly to the account**—without waiting for EOD processing—and update the bank account balance as soon as they are committed.


The Cashbook module can be accessed by selecting **Main > Data Entry > Cashbook or Bank Reconciliation** from the menu bar.

<ss title="Marlin GTX Cashbook Menu" alt="Marlin GTX Cashbook Menu">![image.png](https://cdn.document360.io/d7282b31-60c4-41e6-bf87-3f684d4da049/Images/Documentation/image-TFW1JZJD.png)</ss>

**Register deposits** and **EFT settlements** are automatically posted as part of the [End of Day Close-Off](/gtx/docs/end-of-day-process).

Cashbook entries are therefore typically used for non-trade income or expenses, such as **bank fees**, **interest**, or **miscellaneous receipts**.

Cashbooks can also be used to add missing transactions when performing [bank reconciliation](https://help.megabus.com.au/gtx/docs/bank-reconciliation#adding-missing-transactions).

@(Embed)(https://cdn.document360.io/d7282b31-60c4-41e6-bf87-3f684d4da049/Images/Documentation/9.1CashbookEntry.mp4){height="320" width="640"}

:::(Info) (Note)
Deposits entered at the head office can be distributed across multiple locations.
:::


## Adding Cashbook Entries
#### Main > Data Entry > Cashbook or Bank Reconciliation

The **Cashbook** module will open containing a form for entering a new cashbook entry.

<ss title="Marlin GTX Cashbook Screen" alt="Marlin GTX Cashbook Screen">![image.png](https://cdn.document360.io/d7282b31-60c4-41e6-bf87-3f684d4da049/Images/Documentation/image-Z76HQ9OK.png)</ss>

**In the section at the top:**
* Select the **Bank Account** 
* Select the **Salesperson**
* Select the **Location** recording the deposit (head office only)  

To add a new detail line, click on the **{{glossary.Add}}** button at the top of the Line Details list below.

<ss title="Marlin GTX Add Cashbook" alt="Marlin GTX Add Cashbook">![Image](https://cdn.document360.io/d7282b31-60c4-41e6-bf87-3f684d4da049/Images/Documentation/image-CNZBIBNK.png)</ss>

**For each detail line**
* Select the **Date**  
* Select the **GL Period**  
    * Tick the **Last** checkbox to post to last year's GL, if required
* Seelct the **Type:**
    * **Payment:** Payments you have made
    * **Deposit:** Payments you have received
    * **Bank:** Bank fees you have paid

<ss title="Marlin GTX Cashbook Details" alt="Marlin GTX Cashbook Details">![Image](https://cdn.document360.io/d7282b31-60c4-41e6-bf87-3f684d4da049/Images/Documentation/image-V14GZJXF.png)</ss>

* Enter a **Reference Number**  
* Optionally, select a **Name:** Pre-set labels (e.g Petty Cash, Postage)
* Enter a longer, editable description in the **Details** field
* Enter the **Amount**
* Select the **Account**
    * For multi-branch systems, select the **Branch**
* Select the **Tax Account** 
    * The **Tax** amount should be calculated automatically
    * If not, it can be entered or edited manually

:::(Info) (Note)

Previous cashbook entries can be viewed by clicking on the **printer icon** at the top of the Line Details list.

<ss title="Marlin GTX Previous Cashbook" alt="Marlin GTX Previous Cashbook">![Image](https://cdn.document360.io/d7282b31-60c4-41e6-bf87-3f684d4da049/Images/Documentation/image-R74XL7BR.png)</ss>
:::

:::(Warning) (Tip)
**Split Account Lines** can be added by clicking on the blue s at the top of the Line Details List.

<ss title="Marlin GTX Previous Cashbook" alt="Marlin GTX Previous Cashbook">![Image](https://cdn.document360.io/d7282b31-60c4-41e6-bf87-3f684d4da049/Images/Documentation/image-P0626WNK.png)</ss>
:::

**To commit the cashbook entry:**
* Click on **Finalise** at  top of the module window

<ss title="Marlin GTX Finalise Cashbook" alt="Marlin GTX Finalise Cashbook">![Image](https://cdn.document360.io/d7282b31-60c4-41e6-bf87-3f684d4da049/Images/Documentation/image-VMGW0VD7.png)</ss>

:::(Info) (Note)
If adding an entry for a bank reconciliation, click on **Add** when returning to the [Bank Reconciliation](/gtx/docs/bank-reconciliation) screen to add the deposit in the transaction list.
:::
