End of Day Banking (Hospital)
- Select End of Day Banking from the main menu

 - This will open the screen where the user can perform the End of Day Banking
 - For multi-location facilities, ensure the correct location is selected

 - Check each payment off as it is compared with corresponding data for accuracy
 - Ensure Totals match the EFTPOS settlement & cash/cheques taken
 - Total Balance of all revenue received will be shown
 - Click Save & Print
 - You will be prompted to confirm that you want to clear the transactions.
 - Once confirmed with Yes the End of Day Banking Report will be available for printing
 
Re-Printing End of Day Banking Report
- Select Reports from the main menu
 - Select End of Day Banking

 - For multi-location facilities, ensure correct location is selected
 - Select the Date & Time for the required report OR
 - Select from the list of Last 50 bank deposits
 - Click Update and the selected report will be displayed on the screen
 - It can then be Printed or Exported using the corresponding blue buttons at the bottom right of the screen