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    Each user who creates entries on student accounts simultaneously creates or modifies a cashiering session. These sessions are used to organize and manage account entries in a way that allows verification and adjustment, and to  control the flow of information to an external accounting system (MIP).

    Sessions are numbered sequentially for each user, and progress through a series of states:

    • Open - New account entries will be added to open cashiering sessions
    • Closed - Only adjusting entries are allowed, entered on the Adjustment form. If the same cashier creates new account entries, another cashiering session will be created.
    • Cleared - After the entries in a session have been verified, it is marked as "cleared." Adjustments are no longer possible and the session can now be exported to an external accounting system.

    Two forms are used for cashiering session management, and can be found in the "Supervisor" menu under A/R:

    • Open Sessions - Review, close, and clear cashiering sessions. This form shows only sessions that have not been cleared.
    • Adjustment - Create an adjusting entry on an account, within a closed session.
    • Session Review - Reports based on cashiering sessions for cleared sessions are available from this form. These sessions are no longer visible on the Open Sessions form.
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