How to use reports to track the movement of transactions

Created by RevQore Support, Modified on Tue, 26 Mar 2024 at 12:50 PM by Ella Kitching

A cash book is a financial journal that contains all receipts, disbursements, and remittances. Go to reports>financials>cashbook export  

  

  Choose an account/s and run in enhanced  


  


  Set date range and choose notice type from filters

 

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