Located under the Reports menu, the Deposit Slip Report provides revenue amounts by payment type for a specific day or time period. It's commonly used at the end of a business day to 'reconcile' the day's revenue since it provides a summary of all payments collected. The Deposit Slip can be viewed/saved in a variety of formats including PDF, Excel, RTF, Text, and Tiff.
The Deposit Slip report is a key document when reconciling your cash drawer and bank accounts!
Watch a (1:54) video tutorial on Reconciling Your Cash Drawer