Charge/Payment Combo Journal
Use the Charge/Payment Combo Journal to report and verify all charges, payments, adjustments, refunds, and transfers entered for a certain period during Charge Entry and Payment Entry as well as the charge and payment totals. Payments entered while entering the associated charges during Charge Entry will print with the ticket. There are two types of Charge/Payment Combo Journals, the Daily Journal and the To Date Journal. You can print the daily journal that consists of all charge and payment transactions entered since the last Charge/Payment Post Initialize was performed. Or, you can print a To Date Journal which includes all charges and payments that have been posted (been through Charge/Payment Post Initialize). You can tailor the journal by specifying the amount of detail to print, selecting a range of records and choosing the sort sequence.
Notes:
For more information about running reports, see Print View.
Although you can print the journal at any time, you should print a final version during Daily Work End of Day to maintain a complete audit trail.
If INSight's Batch/Period Posting feature is active, you can only report on batches having the current period code. The period code represents the time span during which activity occurred, regardless of the actual date. To print the journal for all tickets that have a batch number which starts with the appropriate period code, you can enter a period code as the batch number. Or, to specify one or several batches you can enter individual batch numbers which contain the appropriate period code. In this case, the journal prints only the tickets having the specified batch numbers.
Directions:
To see directions for opening the Charge/Payment Combo Journal, click additional information.
At the prompt window, choose the selections. To see the report prompt options, click additional information.
To see the report sample, click More.