Mulitple Store locations
We operate a retail business with 2 seperate store locations and are switching to AccountRight Premier . Each store needs to reconcile and balance their customer payments at the end of each day. We have been advised to use undeposited funds and then prepare bank deposit slip to make matching transactions in bank feeds easier. Can each store have an "undeposited funds" account (obviously named different) to make end of day reconciliation of the daily takings easier?
Hi Alfie11, CloudMindAcc
The time billing function is not yet available in the browser version which is the reason you cannot see all those details there. It is a candidate for future development and we will update you once it's enabled completely. In the meanwhile, all the functions missing from the browser can be accessed via desktop.
Let us know if you have additional questions on this.