Overview
Record bills and coin for a deposit and assign the total to one or more categories.
Before you begin
- Follow district cash-handling procedures for counting and preparing deposits.
Steps
- From the Main Menu, go to Income > Deposits/Receipts.
- In Money handed in by, enter the submitter’s name.
- In Bills, Rolled Coin, and Loose Coin, enter the Qty of each denomination. Amounts auto-calculate.
- In Category Name, choose the category and enter a clear Reason.
- To split across categories, click Insert Row and repeat for each additional category and enter the appropriate Amount for each category.
- Click the Checkmark to Save.
Outcome
The deposit total reflects all cash and coin and is assigned to the selected category(ies) with a supporting reason.
Troubleshooting
- Totals do not match counted cash - Recheck each Qty and denomination.
- Cannot save - Ensure at least one Category Name and Reason are entered.