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1

Go to the Income menu, then click Receipt Search.

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2

Select your search filters. These can either be one or a combination of the following:

  • Period
  • Date
  • Giver
  • Receipt Number
  • Unsent Only
  • Emailed Only
  • Printed Only

Click Search

4

Once the search has been performed, this will show all transactions relating to the filters that have been selected. 

5Above the data table, there will be a Total of your entries. Compare this total to the amount of cash and cheques you have for banking, plus any amounts received directly into bank accounts – they should be equal.
6

Check for any errors to Receipt Entries.
If an entry needs deleting, click the Delete button. More information regarding this can be found here: Delete Receipts.
If an entry needs correcting, highlight the relevant entry and click the Select button to drill into it. More information regarding this can be found here: Select Receipt.

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If an entry needs to be reversed, highlight the relevant entry and click the Reverse button. For More information regarding reversing an entry, click here: Reverse a Receipt.

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When satisfied that all income entries are correct and the totals are equal, click the Send button

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This will bring up a pop-up window of receipts showing their default sending method. Adjust the Send Method for any receipts if required. Click Next.


The next window advises how many receipts have been sent. Click Finish. 


If any receipts are to be printed, the receipt report will be displayed, ready for printing.