When you enter receipts in the Standard Receipts Entry or Speed Receipts Entry programs, the system updates the Customer Ledger table (F03B11), the Receipts Header table (F03B13), A/R Check Detail table (F03B14), and the Batch Control Records table (F0011).

When you post the receipts, the system updates the Account Ledger table (F0911) and the Account Balances table (F0902).