Cash Control Entry - New Deposits Detail

Program/Screen: RACSHT/RACSHTC3

Description:

Use this screen to review new deposits received on the date for which you are balancing the cash drawer.

 

Click a link to advance to that section of the topic.

 

 

Navigation

Access this screen by pressing F7=New Deposits from several of the Cash Control Entry screens.  Review the deposits entered for the date you are balancing.  Use the available function keys to access additional information to help with balancing.

 

Unique Cash Control Entry Screens

Cash Control Entry - Launch

Cash Control Entry

Charge Invoice Detail

Cash from Invoices Detail

New Deposits Detail

Additional Deposits

Cash Control Detail

Total Business Detail

Beginning Deposits

Contracts Opened at Other Locations

Cash ROA Control Detail

Amounts by Currency Denomination

Amounts by Credit Card

Drawer Over/Short Reason Codes

Cash Control Entry - Deposit Completion

 

Fields

From date and time

Displays the start date and time for the new deposits detail for the cash drawer.

 

To date and time

Displays the end date and time for the new deposits detail for the cash drawer.

 

Contract number

Displays the number of the rental or sales contract.

 

Type

Displays the type of deposit such as, K for Check.

 

Amount

Displays the amount of the deposit.

 

Currency

Displays the currency of the deposit.

 

Employee

Displays the name of the employee who entered the contract transaction.

 

Date

Displays the date of the deposit.

 

Driver's License

Displays the state and number of the customer's driver's license.

 

Back to top

Function Keys

Function Key

Description

F1

Help.  Place your cursor in a field and press F1 to access online help for that field.  Place your cursor outside of any field, and press F1 to access online help at the program level.

F2

Charge.  Advance to the Charge Invoice Detail screen to review a list of contracts/invoices for charge customers for the date your are balancing.

F3

Exit.  Exit the page or program.

F5

Refresh.  Refresh the screen and remove entered data.

F6

Cash.  Advance to the Cash from Invoices Detail screen to review cash received against open invoices for the date you are balancing the cash drawer.

F8

Additional Deposits.  Advance to the Additional Deposits screen to review additional deposits received for existing contracts on the date your are balancing.

F10

By Date/Time.  Advance to the Cash Control Detail screen to review all of the cash control detail on one screen.

F11

More Information.  Display or hide additional lines of detail for each listed contract.

F12

Cancel/Previous.  Exit the program or move back a screen.

F14 (Shift + F2)

All Business.  Advance to the Total Business Detail screen to review all completed cash and charge invoices for the date you are balancing.

F15 (Shift + F3)

Beginning Deposits.  Advance to the Beginning Deposits screen to review all invoices that have a deposit for the date you are balancing.

F16 (Shift + F4)

Inter-location Cash.

F17 (Shift + F5)

Top.  Return directly to the top of the list.

F18 (Shift + F6)

Bottom.  Advance directly to the bottom of the list.

F24 (Shift + F12)

More.  Display more available function keys for the program.

 

Related Programs

Update Deposit

 

 

Back to top