For internal (Finace) and external (auditors) purposes we need reports for each batch committed. We also use the printed batch report as our deposit slip when we submit our checks for deposit.
Yes. I would like to switch from entering gift batches in database view to NXT webview, but we use the control report & validation report which I can't pull when I enter gifts through NXT batches.
Yes. I would like to switch from entering gift batches in database view to NXT webview, but we use the control report & validation report which I can't pull when I enter gifts through NXT batches.