CashWorks for Sage 300
Comprehensive Cash Management!
Why SYSTRONICS CashWorks?
for Sage 300
SYSTRONICS CashWorks is an SDK application which replaces A/R Receipt and A/P Payment transactions in Sage 300 to provide additional functionality, including support for post dated checks. There is provision for handling receipts and payments even if Sage 300 A/R and A/P modules are not installed, in which case CashWorks posts receipts/payments information directly to G/L. Specially designed aging, transaction and cash flow reports give you the option of including or excluding future dated entries for flexible cash analysis. What's more, CashWorks provides full control over the lifetime of cash transactions in the intuitive environment of Comprehensive Cash Management Console (CCMC). CashWorks allows processing transactions from receipt or payment of checks to clearing through bank reconciliation; updating you with statuses such as returned to customer or from vendor, deposited to the bank or still with you, cleared by the bank or bounced, etc. The attachment of electronic documents, images and files to cash transactions comes as a standard feature. CashWorks 2018F also offers Customer Aged Trial Balance, Vendor Aged Trial Balance, Customer Transactions, and Vendor Transactions reports, as well as receipt and payment vouchers.
In versions 2019F/2020F/2021F/2022F/2023F CashWorks is available in two convenient Editions - CashWorks Pro & CashWorks Lite. CashWorks Pro is available with full functionality, while CashWorks Lite is offered as an economical alternative with no support for post dated checks.
CashWorks 2019F/2020F/2021F/2022F/2023F integrates with SYSTRONICS Cashflow Forecasting™, giving the end user an unmatched cash management experience. Bank Reconciliation now supports multiple receipts that are grouped in one deposit at the time of realization, importing A/R Receipt and A/P Payment transactions is also available, and Miscellaneous Codes can now be used to facilitate data entry in C/W GL Receipts and Payments.
Check here for new features in CashWorks 6.0F.
Highlights- Integrated Post Dated Checks (PDC) Functionality.
- Full Control Over the Lifetime of Transactions.
- Allows attaching documents to employee records.
- Attach Electronic Documents to Transactions.
- Reporting Integrated with PDC.
- Automatic payments generation.
- Integration with US Payroll.
- Integrates with SYSTRONICS Cashflow Forecasting
Business Benefits
- Easy Management of Customer Payments, Customer & G/L receipts and Vendor & G/L payments.
- Easy Management of Post Dated Checks (PDCs).
CashWorks Business Benefits
Business benefits
- Easy Management of Customer Payments, Customer & G/L receipts and Vendor & G/L payments.
- Easy Management of post dated checks (PDCs).
- CashWorks Lite is offered as an economical alternative with no PDC support.
- Bank Reconciliation.
- Reduced Ongoing Costs with Easy Installation, Configuration & Support.
- Web Deployment.
Currently Supported Versions
| Currently supported | Lite 2023F · Lite 2024F · Lite 2025F · Lite 2026F · Pro 2023F · Pro 2024F · Pro 2025F · Pro 2026F |
|---|---|
| Compatible with | Sage 300 2026, Sage 300 2025, Sage 300 2024, Sage 300 2023 |
| Delivery Mode | Website download. |
CashWorks Downloads
CashWorks prices
Annual subscription
Entitles the End User to use any shipping version during the validity period, including updates, upgrades and unlimited offsite technical support direct from the SYSTRONICS Support Team.
Fixed license fee
Updates, upgrades and support are available under a valid Software Assurance Plan, mandatory for the first year and charged at 20% of the current product SRP.
Version history
FAQ
Is it possible to use optional fields in CashWorks?
Can CashWorks be installed in Sage 300 with Oracle database? What if the server is Linux based?
Does CashWorks support import/export functionality?
How can payments to customers be handled? How about receipts from vendors?
Is there a way by which we can reset the document numbers in CashWorks?
I added a new bank in Sage 300 Bank Services, but it does not appear in CashWorks. What should I do?
Does CashWorks support different transaction numbering for each bank?
Does CashWorks integrate with Project and Job Costing module?
Does CashWorks integrate with US Payroll?
With what Sage 300 modules does CashWorks integrate? Which are the required ones?
Does CashWorks have year–end procedures allowing deleting obsolete data?
When transactions are posted from CashWorks to A/R, A/P or G/L, are optional fields sent there too?
Is it possible to print vouchers for Bank Transfers?
Is there any reference fields available in A/P & A/R for transactions originated from C/W? The requirement is to reconcile transactions flowing from CashWorks to A/P, A/R & G/L.
CashWorks substitutes the functionalities of A/R & A/P. This being the case, why don't we have a single posting of batches from C/W, which would update AR/AP respectively and create the final batch in G/L?
Is it possible to have multiple checks in one entry?
Is it possible to drill down from Sage 300 modules to CashWorks?
Is it possible to do a bank transfer from C/S Bank to C/W Bank. Or maybe there is another method of updating C/W bank from C/S bank? (In case when company uses C/S bank for normal transactions but for petty cash transactions uses C/W bank; fund has to transfer from main C/S bank to C/W petty cash Bank).
Does CashWorks integrate with Inter Company Transactions (ICT) fully like the standard Bank Services?
Can we have "Cash" payment type for G/L related transactions also?
Is it possible to post batches by range in CashWorks?
Is CashWorks Compatible with Windows Vista?
Reversing a check from CCMC results in the following error: "Cannot reverse this check. It has been partially or fully paid by other check(s). You must reverse other check(s) that paid this check before reversing itself."
I could not find an option to re–activate the application which shows "CashWorks Expired."
How does CashWorks determine this field CWHDR.ORIGPDC? When will this field change the value O and 1?
While realizing a vendor payment in the Management Console, the following error comes up: "Check number must be blank for non check transactions."
If CashWorks Customer Receipts and Vendor Payments are replacing A/R Receipts and A/P Payments, can we remove Receipt (Payment) Entry Rights from the Users in A/R (A/P) so that they will not enter transaction by mistake?
See CashWorks on your Sage 300
Tell us your Sage 300 version and how you plan to use CashWorks. The SYSTRONICS team will arrange an online demonstration.
Ready to put CashWorks on Sage 300?
Download the current version, request an activation code, or ask the SYSTRONICS team for a walkthrough.