Versions Compared


  • This line was added.
  • This line was removed.
  • Formatting was changed.



                      Image Removed

Image Added

First, opening the bank will close the bank if previous day's bank is not closed. Then user must update the cash drawer's opening balance for the day. User enters the quantity of each bill denomination found in the cash register when the bank is opened, and the bank total is automatically generated. To perform any operation the bank has to be opened first. Once the bank is closed, all transactions for that day end, and when bank is reopened all reports start back at zero.