End of Day Banking (Hospital)

  1. Select End of Day Banking from the main menu
  2. This will open the screen where the user can perform the End of Day Banking
  3. For multi-location facilities, ensure the correct location is selected
  4. Check each payment off as it is compared with corresponding data for accuracy
  5. Ensure Totals match the EFTPOS settlement & cash/cheques taken
  6. Total Balance of all revenue received will be shown
  7. Click Save & Print
  8. You will be prompted to confirm that you want to clear the transactions.
  9. Once confirmed with Yes the End of Day Banking Report will be available for printing

Re-Printing End of Day Banking Report

  1. Select Reports from the main menu
  2. Select End of Day Banking
  3. For multi-location facilities, ensure correct location is selected
  4. Select the Date & Time for the required report OR
  5. Select from the list of Last 50 bank deposits
  6. Click Update and the selected report will be displayed on the screen
  7. It can then be Printed or Exported using the corresponding blue buttons at the bottom right of the screen