How to Print the Deposit Register Report in Sage 300 Bank Services
Steps:
- Open Common Services > Bank Services > Bank Transaction Reports > Deposit Register.
- Specify the range of banks to include on the report.
- Specify the range of transaction dates for the deposits to include on the report.
- Note: By default, the To Transaction Date field is set to the session date.
- Use the From Application and To fields to specify a range of source ledgers for the deposits (for example, AR for Accounts Receivable, BK for Bank Services).
- In the Print field, specify the level of detail for the report.
- In the Sort By field, specify whether to sort deposits by transaction number, transaction date, or description/customer name.
- If you want to print the individual receipts that make up the deposits, select the Print Deposit Details option.
- Note: Printing deposit details limits the reconciliation statuses you can include.
- Specify deposit types to include on the report.
- You can include any or all of the following deposit types:
- Check
- Cash
- Credit Card
- Transfer
- Other
- You can include any or all of the following deposit types:
- Specify reconciliation statuses for transactions to include on the report.
- You can include deposits with any or all of the following statuses:
- Cleared
- Outstanding
- Not Posted
- If the Print Deposit Details option is not selected, you can also include deposits with the following statuses:
- Cleared with Bank Error
- Cleared with Write-Off
- Cleared with Credit Card Charges
- Cleared with Exch. Rate Diff.
- Reconcile by Deposit Detail
- You can include deposits with any or all of the following statuses:
- Click Print.