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  1. Click on the Reports tab
  2. Select Financial Reports
  3. Select the Transaction Audit Report
  4. Select from the following options:
    1. Report Date Range
    2. Bank Account 
    3. Payment Type Transaction Type Type (All payment types, or Cash, Cheque, Credit/debit, On account, Petty cash)
    4. Transaction Type (Sales, Account deposits, Dinner money sales, Expenditure, Ledger sales, Transfers between accounts, Balance adjustments)
    5. Deposit Reference 
    6. Show transaction breakdown (this option will automatically export the report to MS Excel)
  5. Click OK

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