CR> Report> Batch Summary Report
Batch Summary Report
Summary
The Batch Summary Report is used to display Cash Receipts batches grouped by
workstation or operator. The report contains the batch number, batch date, batch
status (committed or uncommitted), number of receipts in the batch and batch
total. Each batch displays on the report as a single line item, so the report
does not display the receipt detail.
Related Links
Click here for information on the Jobs Viewer window.
Click here for information on the View Reports window.
Click here for information on the Report Publisher.
Step by Step
1 Open the Print Batch Summary Report window (CR> Reports> Batch Summary).
2 Configure the report.
- The Batch From and Batch To fields are used to select a specific Cash
Receipts batch or a range of batches. Click the Batch From or Batch To field labels to find an existing batch. This will open a Batch
Selection window. If you leave the fields empty, the report will display all
batches that fall within the other criteria selected on this screen.
- The Date From and Date To fields are used to filter the receipts that display
on the report by receipt date.
- The batch totals on the Batch Summary Report will only include receipts that have been
included on the report. If the receipt date of the receipts in a batch vary,
filtering the report by receipt date may exclude receipts from a batch. This
means the Batch Summary total will not equal the total receipts in the batch.
For example, if an over/short type code receipt was entered with a receipt date
of 07/02/15, but all of the other receipts in the batch have a receipt date of
07/01/15, filtering the batch by receipt date 07/01/15 will exclude the
over/short adjustment from the report.
- The Total By drop-down menu is used to select how you would like the report the total.
- The Station drop-down menu is used to filter the receipts that display in the report by the
station that was used to generate the receipt. Select a station from the drop- down menu to include only receipts generated on that workstation on the report.
- Stations are created and maintained in the Station Maintenance window (CR> Maintenance>
Station).
- The Operator drop-down menu is used to filter the receipts that display on the
report by the operator that entered the receipt. Select an operator from the
drop-down menu to view only receipts entered by that operator.
- Cash Receipts module operators are creating and maintained in the Operator Maintenance window
(CR> Maintenance> Operator).
- The Receipt Status drop-down menu is used to filter the receipts that display on the
report by void status.
- Select Valid if the report should only include receipts that have not been voided.
- Select Void if the report should only include receipts that have been voided.
- Select All to include receipts of all statuses on the report.
- The Commit Status drop-down menu is used to filter the receipts that display on the report
by the commit status of the batch they have been generated in.
- Select Committed if only committed receipts should display on the report. Receipts are
committed when the Commit step of the Cash Receipts palette (CR> Cash Receipts>
Commit) is complete.
3 Print the report.
- Press ENTER to process the report immediately or enter a date and time in
the field next to the Print icon
to schedule the report to print at a later time.
- You can view the progress of the report or open it once it has been generated in the Job
Viewer window (SS> Utilities> Show Scheduled Jobs). If the report has been
scheduled to generate at a later time, you can view the scheduled date and time
in the Scheduled Date/Time field.
- You can open the report from the Jobs Viewer window once the print job is complete.
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