On Fri, Dec 17, 2010 at 6:26 PM, Georgette Rogers
<[email protected]> wrote:
> Another question for the group.
>
> How well do the reports run?  I have issues with the ones I am running now,
> and I am curious if there is a report that we can balance to our cash
> register for deposit purposes.  We are a city entity, so I have to balance
> everything with my city treasurer.
>

There is a specialized interface for register reconciliation.  It will
give you a breakdown by workstation (AKA cash drawer) /and/ by
accepting staff member over the requested time period.  For
non-monetary transactions (forgiveness, in-kind goods payment, etc)
the breakdown is by authorizing staff member, as there's nothing to go
into a cash drawer in those cases.

-- 
Mike Rylander
 | VP, Research and Design
 | Equinox Software, Inc. / The Evergreen Experts
 | phone:  1-877-OPEN-ILS (673-6457)
 | email:  [email protected]
 | web:  http://www.esilibrary.com

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