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- Opening a new day.
- Importing data from the PMS system or manually entering data.
- Reconciling/Reviewing a day.
- Posting a day.
- Re-opening a day, if necessary.
Fields
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on the Daily Revenue Recap screen
This table describes the fields found on the Daily Revenue screen.
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Field | Description |
Other Actions | - Clear Revenue Days—This is an advanced features, and requires that you contact Tech Support for information about using this function.
- Export Income Journal—Export data to an external file that is importable into your accounting system. See Exporting Income Journal.
- Post Income Journal—After all data has been Imported, Reconciled and Reviewed for an entire period, you need to Post the Income Journal. Once posted, the data can be exported.
- Revenue Report Builder—Configure certain Revenue reports.
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View Day | Enter a date and click the link to view data on a specific date. |
Date | Denotes the date for which data is entered. - Control Summary—Displays a summary of Receipts, Funds and other pertinent Statistics. This screen is view only and can be accessed by clicking on the date, or the button on certain screens.
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DOW | Denotes the day of the week |
Status | See what state the data is in for that day. - New—Denotes that no data has previously been entered for that day.
- Open—Indicates that the day has activity and screens are populated with current amounts.
- Posted—Denotes a day whose activity has been balanced. Once a day has been posted you cannot change the data for that day, you must first re-open the day.
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Net Revenue | Displays the total net revenue for that day. |
Action | Denotes the different functions that can be performed on the data for the day. |
Opening a New Day
Anchor |
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| Opening a New Day |
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| Opening a New Day |
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To open a day:
- Determine the day for which you are entering data.
- Click Open in the Action column.
Import and Reconcile now appear in the Action column.