Daily Revenue Recap
The Daily Revenue Recap is located on the main Revenue screen, and provides you with access to the screens necessary for viewing and/or entering daily revenue data. The main purpose of this function is to gather the daily revenue and statistics information into a database so that it can be used for analysis.
Functions that are accessed via the Daily Revenue Recap screen include:
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Opening a new day.
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Importing data from the PMS system or manually entering data.
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Reconciling/Reviewing a day.
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Posting a day.
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Re-opening a day, if necessary.
Fields and Controls on the Revenue screen
This table describes the fields found on the Revenue screen.
Caution: If a day has been posted to the Income Journal, you cannot re-open the day.
Field | Description | Notes |
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Controls | ||
Revenue Utilities |
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Import | Import data directly from an outside system or enter data manually. |
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Reconcile | View data that has been entered for Open days, and, if out of balance, you can edit/make adjustments to get it in balance. | You cannot post a day if it is out of balance. |
Control Summary | Displays a summary of Receipts, Funds and other pertinent Statistics. This screen is view only and can be accessed by clicking on the date, or the button on certain screens. |
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Open | Access the day so that activity can be imported and screens populated with current amounts. | There will only be one New day at a given time, and it will always be the day after the last opened day. |
Review | View, but not edit, the figures for a particular day. If you find that you need to edit the data, you must Re-Open Day. The system will automatically re-open all days subsequent to the next open day. However, you must re-post the data for each day that was re-opened. |
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View Day |
Enter a date and click the link to view data on a specific date. |
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Table | ||
Date |
Denotes the date for which data is entered. |
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DOW |
Denotes the day of the week |
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Status |
See what state the data is in for that day.
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Net Revenue |
Displays the total net revenue for that day. |
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Opening a New Day
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In the upper-left corner of the screen, select Access your applications (
).
The menu expands. -
From the drop-down list, select Financial > Revenue.
The Revenue screen appears in a separate tab. -
Determine the day for which you are entering data.
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Click Open in the Action column.
Import and Reconcile now appear in the Action column.