Cargospot Cargo Revenue Accounting User Guide
Cargospot Cargo Revenue Accounting User Guide
Index
  1. Home
  2. Sales
  3. Cash
  4. Daily Cash Box Run Process

Daily Cash Box Run Process

The Daily Cash Box Run process gathers the information of a particular cash box at the end of the shift. This process is independent from the daily payment run.

  1. Executing a Cash Box Run

    When the Daily Payment Run has been executed, the following actions become available:

    • Viewing Cash Box Summary
    • Viewing Paid AWBs
    • Displaying Each Invoice
  2. Committing a Cash Box Run

    Once the run is committed, the same output actions available upon execution are made final.

  • Sales
    • Sales Export Invoices
    • Sales Import Invoices
    • Payments
    • Working with Charges Correction Advice
    • Cash
      • Printing Cash Invoices
      • Enabling Cash Box for a Station
      • Assigning Cash Box to an Operator
      • Daily Payment Run Process
      • Daily Cash Box Run Process
        • Executing a Cash Box Run
        • Committing a Cash Box Run
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