Specifying Ad Hoc Reports

You must assign privileges to the employee to run specific property reports related to active receptacle sessions at the property.

  1. In the EMC, select the Enterprise level, click Configuration and Roles.
  2. Select the role type, click Operations, Ad Hoc Reports, and Report Options.
  3. Select the appropriate Enterprise Cash Management (ECM) reports.

    Table 21-1 ECM Reports

    Report Description

    Run Till Report

    Provides information about the active till session on the workstation to which the workstation operator running the report is assigned. The printed report shows only values related to the operator’s activity.

    Run Cash Pull Report

    Provides a list of cash pull transactions that have been performed for the business day.

    Run Till Banking Report

    Provides information about all active till sessions for the location.

    Run Safes Report

    Provides information about all active safe sessions for the location.

    Run Paid-In/Paid-Out Report

    Provides information about all paid-in and paid-out transactions that were recorded for the business day.

    Run Over/Short Detail Report

    Provides information about over and short conditions that were recorded for the business day.

    Run Bank Deposits Report

    Provides information about all active bank deposit sessions for the location.

    Run Server Bank Report

    Provides information about the active server bank session for the user running the report.

    Run Petty Cash Report

    Provides information about all active petty cash sessions for the location.

    Run Server Banking Report

    Provides information about all active server banking sessions for the location.

  4. Click Save.