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
