Cirrus CR> Reports> Deposit Slip

Deposit Slip Report

 

Summary

 

The Deposit Slip Report is used to help create a bank deposit slip for the cash and check receipts of a selected day. If you do not deposit receipts daily, you can run the report multiple times and then add together the total deposit amounts from each report. The report displays uncommitted transactions in case you commit Cash Receipts batches after you generate the deposit slip. Receipts that have been voided are excluded from the report.

 

Receipts of payment type Other are excluded from the report so that the Deposit Slip Report does not include credit card receipts. All receipts paid with cash will be totaled on the report and each receipt paid with a check will be individually listed on the report. Checks and cash are totaled separately on the report.

 

Payment types are set up as cash, check or other in CR> Maintenance> Payment Type and the payment type is attached to a receipt in the Payment Information section of the Cash Entry window.

 

Related Links

 

Click here for information on the Jobs Viewer window.

 

Step by Step

 

1     Open the Deposit Slip window (CR> Reports> Deposit Slip).