Skip to main content
Skip table of contents

Receipt Reports

Use the Cash Receipts reports to generate the following types of reports:

ReportDescription/Location

Credit Card Payments

Balances transactions from the credit card processing company.

Menu Path: Billing & Receipts > Reports > Cash Receipts > Credit Card Payments

Detail Receipt Listing

Provides details used to track down discrepancies if the receipts and monies in the cash drawer do not match your transaction totals.

Menu Path: Billing & Receipts > Reports > Cash Receipts > Detail Receipt Listing

Quantity Transaction

Lists receipts totals, which are sub-totaled by the category and subcategories of your organization's quantity grouping.

Menu Path: Billing & Receipts > Reports > Cash Receipts > Quantity Transaction

Receipt Adjustment Log

Lists receipt adjustment transactions, including the receipt numbers, changes made, date of the changes, and the log-ins of the persons who made these changes.

Menu Path: Billing & Receipts > Reports > Cash Receipts > Receipt Adjustment Log

Receipt Summary by Account

Lists accounting distribution information, sorted by revenue account.

Menu Path: Billing & Receipts > Reports > Cash Receipts > Receipt Summary By Account

Receipt Summary by Revenue Code

Lists receipts totals by revenue code. For revenue codes that interface directly to Fund Accounting, accounting distribution information is also listed.

Menu Path: Billing & Receipts > Reports > Cash Receipts > Receipt Summary By Revenue Code

Receipts Interfaced

Lists receipts that have been interfaced to other CommunityPLUS systems or directly to Fund Accounting. Generate this report with summary or detail information.

Menu Path: Billing & Receipts > Reports > Cash Receipts > Receipts Interfaced

Register Access

Details employee use of registers, including pertinent record numbers as well as log on and log off times.

Menu Path: Billing & Receipts > Reports > Cash Receipts > Register Access

Register Transaction

Used to balance a register. Run this report and count the receipts and monies in the cash drawer to ensure the receipt amount equals the total on the report.

Menu Path: Billing & Receipts > Reports > Cash Receipts > Register Transaction

Report By Fund-Cash Account

Lists receipts totals for receipts being interfaced to Fund Accounting. Receipts are listed by receipt fund and cash account combinations and sorted by receipt fund.

Menu Path: Billing & Receipts > Reports > Cash Receipts > Report By Fund-Cash Account

Report by Payment Type

Lists payment by type: cash, check, and other.

Menu Path: Billing & Receipts > Reports > Cash Receipts > Report By Payment Type

Revenue Code

Lists your organization's revenue codes and descriptions, as well as distribution information, sorted by revenue code.

Menu Path: Billing & Receipts > Reports > Cash Receipts > Revenue Code

Generate Receipt Reports

  1. Select the desired report menu path above to display the report page.
  2. Enter criteria identifying the records to include, and click OK.
  3. Specify how to generate the report, and click OK. The report's default file name for each report is as follows:

Type of report

Default file name

Credit Card Payments

ccpayments.rpt

Detail Receipt Listing

rec_dtl.rpt

Quantity Transaction

qtytrans.rpt

Receipt Adjustment Log

rec_adj.rpt

Receipt Summary By Account

acct_sum.rpt

Receipt Summary By Revenue Code

prtsum.rpt

Receipts Interfaced

rec_intf.rpt

Register Access

prtlog1.rpt

Register Transaction

reg_trans.rpt

Report By Fund-Cash Account

fund_sum.rpt

Report By Payment Type

pay_type.rpt

Revenue Code

rev_code.rpt

JavaScript errors detected

Please note, these errors can depend on your browser setup.

If this problem persists, please contact our support.