Bank Deposit Reports

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The Bank Deposit Slip report is available for printing at any time, regardless of whether any payments have been selected for banking. This is extremely useful when reconciling accounts and requiring the amounts to be banked.

 

On the ribbon, go to Accounts > Bank Deposits.

Choose a previously completed banking session by clicking the Banking # radio button, then choose the required session.

bankingsession

Print the banking slip (from the Report menu in the ribbon) once the banking session has been saved.

bankdepositreport

 

You can use the Excel icon to produce reports directly to Excel. Permission for use of this is based on report permissions since it accesses the report for the information.

 

excelicon

 

When Excel is selected, it will open spreadsheet windows and populate it with raw data from the selected report. Each report pipeline with be represented in a separate sheet, eg. Job, JobComments, JobStock etc.

 

Info

Jim2 is supplied with a standard bank deposit slip report suited to most businesses. Bank deposit slip reports can be designed via Jim2 Report Designer.

 

depositreports

 

Once the banking session has been chosen, select the print option to use: either a bank deposit slip for a single entry, or for multiple entries.

 

depositsingle

 

Further information

Bank Deposits Screen

Branch Banking Sessions

Deposits into Unbanked Funds

Grouping/Sorting in Banking Sessions

Add a Deposit

Create a Banking Session

Delete a Banking Session

Refund from Unbanked Funds