Day End & Monthend Procedure for Costar Express
Purpose
This help file will guide you through the steps in processing a Day End and Monthend for a COSTAR Express system.
It is advisable to process the Day End each day so that you can balance your cash, cheques and EFTPOS to what has been processed in the computer.
Balance Your Banking
- Click on Day End
- Click on Day End Reports
- Click on Cash Reconciliation
- Click on the Daily Banking report icon and then click on Prepare
- Check that the values balance to what was physically taken from the customers. Click on the down arrows next to each tender type and make sure they balance. If they do you can move to Running the Day End; if they don’t you need to check why and fix the errors (call the support desk if you need help 1800-819-984)
- Click on Back
- Click on Back
Running the Day End
- From the Day End menu
- Click on Day End
- You will be presented with a screen that shows you the accounting period the day end batch/es will be posted to.
- Click on Perform Dayend
- Click on OK to confirm you want to run the Day End
- Click on OK to confirm the batches to be posted
- A snapshot (internal backup) will run automatically
Bank Deposit Slip/Printing Cash Reconciliation
- From the Day End menu
- Click on Day End Reports
- Click on Cash Reconciliation
- Click on the last report icon on the screen (should have today’s date) and then click on Prepare
- Enter the value of Cash to be banked either by break down or total in the Net Cash to Bank field
- Click on Print Deposit Slip and print 2 copies
- Click on the (X) to close the report
- Click on Print Cash Rec and print 1 copy
- Click on the (X) to close the report
- Click on Back
- Click on Back
Print OW Batch GL Summary for Entry into Your Accounting Package
- From the Day End menu
- Click on Day end Acct Batches
- Click on the Posted Batches tab
- Double click on the first batch listed (it should be the day just finalised)
- Click on Show Batch Summary
- Click Print
If it is the last day of trading for the month, the monthend needs to be completed by doing the following:
Note: If you are part of a multi-branched company Monthend only needs to be run from one location.- Click on the Monthend menu
- Click on Monthend Procedures
- Click on Do it!
- Click on Yes to confirm
- Click OK
Running the Backup
- From the desktop double click on SQLBackupandFTP program and click Run Now
Deleting Day End Reports
It is good practice to periodically delete the Day End Reports the system automatically creates during the Day End. As the backup you run each day backs up any report icons in the system.
Keeping the Day End Report icons to a minimum will ensure your backup is not taking any longer than it needs to.
Note: Any deleted Day End Report icon can be recreated if needed.- Click on Day End
- Click on Day End Reports
- Click on Cash Reconciliation (be sure to leave the Daily Banking icon in Cash Reconciliation)
- Highlight the icons to be deleted (click and drag your mouse)
- Click on the Delete icon on the top toolbar
- Repeat for Cashiers Report, Daily Sales Report and Daily Invoice Register
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