/
About Reconciling Data
About Reconciling Data
The Reconcile Revenue screen displays data entered by day and is used to edit/adjust amounts to make the day balance. You cannot post a day until the day is in balance.
In addition to the regular detail lines, there are five line types that have the ability to be broken into more detail: F&B Write-Offs, Miscellaneous Revenue/Funds, Log Number Rooms, and Log Room Numbers.
, multiple selections available,
Related content
Reconciling-Reviewing Data
Reconciling-Reviewing Data
More like this
Daily Revenue Recap
Daily Revenue Recap
More like this
Revenue Report (Revenue)
Revenue Report (Revenue)
More like this
Importing Data
Importing Data
More like this
Secondary Lines
Secondary Lines
More like this
Revenue
Revenue
More like this