Deposit Receipts
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Note: To complete this Process make sure all items have been entered into the ledgers:
From the Tree View:
- Expand ACCT Receivable from the tree view
- Select Deposit Receipts
- Check the Check all button to mark all items
- Click CALCULATE button and verify the Current Calculated Balance matches tape
- If all is in balance, click the Current Calculated Balance box to confirm
- Click PROCESS button and a PDF file will appear on screen to print out