Daily Collections and Expenses Report
Summarises a branch's money for a date range: collections from regular sales and from down payments, in cash and other tenders, other expenses, other income, and the resulting cash balance.
Menu: Reports › Financial Reports › Daily Collections and Expenses Report
What it's for
Use it for the daily cash report sent to the head office: Cash Balance is the cash collected minus cash expenses plus cash income, which should match the cash deposited or kept. Click > to expand Gross Amount into Regular Sales and Down Payments.
Branch A for 30 September: Gross Amount cash 42,000.00 and other tender 8,500.00, Other Expense 1,200.00 in cash (delivery fuel), Cash Balance 40,800.00. The branch deposits 40,800.00 the next morning.
Options on the screen
- Branch and From / To. The report has three columns: Cash, Other Tender and Total.
For searching, express filters, sorting, column settings, exporting and printing, see About reports.