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Email Report Configuration
Log In > Configuration Menu > Edit Configuration > Receipt and Report Menu
Copies of reports can be emailed using the following entries
SMTP Host
From/To email address entry
User Name entry
Password
Port
SSL enable
Report type to send
Report Parameters
Cash Tracking Runs At End Of Day
Sets the number of days of the Cash In/Cash Out summary
Cash Tracking Range
The Cash Tracking report provides a Cash In/Cash Out summary.
Empty Bin
Log In > Status (bottom tool bar) > Coin Recycler > Empty Bin
This function removes amounts reported in the Overflow Bin and Reject ~ .50) Bin.
Funds existing in the Overflow Bin and Reject (.50) will continue to carry over to successive
accounting periods until this function is performed.
Overflow Bin = coins added during “dispense coins to overflow” operations.
Reject ~ .50 Bin = Coins larger than USD $1.00 coin
(Any coins deposited in the Reject ~ .50 Bin will be counted as .50 coins)
Empty Drop Vault (operation)
Log In > Empty Drop Vault
Will remove any amounts deposited using the Vault Drop feature since the last “Empty Drop Vault”
was performed.
Funds existing in the Drop Vault will continue to carry over to successive accounting periods until
this function is performed.
Empty Drop Vault (permission)
Log In > Configuration Menu > Edit Groups, Mixes, etc > Permission Groups > (Select Group)
Users in a Group with this ability can remove Drops from the reports after the Drops have been
physically removed from the Drop Vault.