Overview
Use this hub to access step-by-step guides for daily work in SchoolCash Accounting, grouped into clear sections like Checks, Deposits/Receipts, Reconciliation, and more.
Details
- Configuring Database Setup (Chart, Demographics, Ledger)
- Issuing Checks and Managing Options
- Recording Deposits and Receipts
- Managing Cash and Checks YTD Itemized and NSF
- Making Transfer Entries
- Posting Journal Entries
- Using Ledger Inquire
- Running Reports
- Managing Change Funds - Cashbox
- Reconciling Monthly Bank Statements
- Printing and Reprinting Reports