Report management |
Money Machine
®
2
bin models | 21
Business Day Totals Report
The BUSINESS DAY TOTALS REPORT
screen prints coin data for a specific business day/
time period. Can be set to occur automatically at a specific time, every 24 hours, or can be
manually cleared at any time.
1. PRINT DAY REPORT
includes Business Date
Reported, Total Amt.
Processed, Total Units,
Transaction Count, Value
of Coin Accepted, Service
Charges, and value by
denomination for the
selected day.
2. PRINT DETAILED DAY
REPORT prints the start of
day (SOD) and end of day
(EOD) for the selected day,
plus the EOD sequence
number. Coin totals are
listed by denomination,
Unit and Value.
The Statistics Section of the report includes bag details and other information, as
shown in the report example on page 22.
3. PRINT DAY TRANSACTIONS prints all transactions by audit number for the selected day
and may be used for end-of-day balancing. Report includes the date being reported on,
Time, Audit Number, Value and Service Fee totals for each transaction.
a. Select a day (column highlighted in yellow).
b. Select
PRINT DAy TRANSACTIONS
.
4. PRINT WEEKLY REPORT
prints a snapshot of the
machine totals since the
last business day close.
This report is optional and
must be activated in setup.
5. PRINT ALL DAYS (without
entering a date range)
is a
summary that includes the
Date, Value, Unit Total and
Service Fee Total for all
coins collected for all days.
Be advised - the report
generated may be very
long.
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