Receipt Reports
Use the Cash Receipts reports to generate the following types of reports:
Report | Description/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
- Select the desired report menu path above to display the report page.
- Enter criteria identifying the records to include, and click OK.
- 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 |