Hello Dayna, The Cash deposits made are to be considered as ending drawer balance since the amount is received from the customers but not from vault, so this amount has to be added to ending drawer balance row.
For example, assume that we have created a Teller for 2 days(1st Jan to 2nd Jan). The Beginning cash drawer balance for Jan-2nd will be populated only if the previous day(1st Jan) cash is not settled. Regards Shreyaank Sent with Mailtrack <https://mailtrack.io/install?source=signature&lang=en&referral=shreya...@confluxtechnologies.com&idSignature=22> On Fri, Nov 11, 2016 at 10:38 PM, Dayna Harp <dh...@mifos.org> wrote: > Hello - > > I am training a credit union on the use of the daily Teller Cash Report. > I have made a few cash deposits, then pulled the report. > > My Beginning Cash Drawer balance pulls into Ending Cash Drawer balance row > > Total cash received displays 0 zero - should be number. > > I wonder if I missed something in system configuration OR if this is a bug > in the Daily Teller Cash Report. > > Thoughts?? > > > *Dayna Harp* > Director Strategic Initiatives, The Mifos Initiative > dh...@mifos.org <edca...@mifos.org> | Skype: harpcreek | Mobile: > 011+501.628.9686 > > *Ending Poverty One Line of Code at a Time | *http://mifos.org > <http://facebook.com/mifos> > > > <http://facebook.com/mifos> > > > > <http://www.twitter.com/mifos> > > > -- Thanks and Regards Shreyaank E-mail:shreya...@confluxtechnologies.com
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