Printing the Bank Deposits Status Report
In a multicurrency system:
- For a foreign-currency bank, batch totals are listed and totaled in the statement currency.
- For a multicurrency bank, batch totals are listed in their source currencies, and cannot be totaled.
- For a multicurrency bank, the source currency of each deposit is shown.
To print the Deposits Status report:
- Bank Services > Bank Transaction Reports > Deposits Status. Bank Services > Bank Transaction Reports > Deposits Status.
- Specify ranges of deposit dates, banks, and applications (subledgers) to include on the report.
- Select the Print Deposit Details option to include details of each individual receipt on the report.
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Specify the statuses of the deposits you want to include on the report. More...
- Click Print.