OperationsCommander - https://opscom.wiki

Daily Payments - Itemized

The Daily Payments Itemized report allows administrators to view a detailed breakdown of all submitted and processed payments within a specific date range. Its primary purpose is to help track individual transaction items, such as permits, deposits, and violations, for financial tracking and daily reporting. This article is intended for OPS-COM administrators.

Setup and Configuration

There is no specific system configuration required to access this report. Running the daily itemized report is a standard administrative function available to users with the appropriate financial and payment management permissions enabled on their account profile.

Using this Feature

Administrators can filter the daily payments by date range, payment status, and payment type to generate a highly specific financial report.

  1. Hover over Payments and click Daily Payments - Itemized.

  2. Select your desired date range using the provided date fields.

  3. Filter the results by choosing specific payment types from the drop-down menu.

  4. Choose to filter the report by either submitted or processed payments.

  5. Click the List Payments button to generate the results.

Key Information Displayed

Available Action & Button

The report offers two distinct Excel export options depending on how you need the data organized for external use:

image.png

image.png


Best Practices and Considerations

Reconciliation Tasks: While this report provides an excellent itemized view of daily transactions, it is not recommended for strict bank reconciliation tasks (comparing system payments directly to bank merchant payments). Itemized reports can occasionally display tax differently and lead to rounding errors. Always use the Payment Reconciliation page for direct bank statement comparisons.


Take Command of Your Parking and Security - https://OperationsCommander.com

Revision #2
Created 8 August 2024 14:12:36
Updated 7 July 2026 13:27:11