Overview
Use this hub to access focused, task-based guides for District Administrator tools in SchoolCash Accounting, including Program Maintenance and Table Maintenance.
Details
- Creating a New Bank Account
- Running the Year-End Rollover Procedure
- Completing the Year-End Rollover Checklist
- Automating the Year-End Rollover
- Editing Student Names (Pre-Reg Students)
- Merging Student Data
- Managing Suppliers
- Using the Auditor Menu (Reset and Audit Tools)
- Managing Accounting Settings
- Managing Board Maintenance Settings
- Managing School Maintenance Settings
- Managing School Catalog Years
- Managing Cash Drawers in Register Maintenance
- Managing Users
- Managing Security Access Levels
- Assigning User Roles for Catalog/Register
- Using Lookup Table Maintenance
- Running the Login Tracking Report
- Running the Exception Report
- Configuring Application Defaults
- Maintaining Banks
- Maintaining Bank Accounts
- Maintaining Categories and GL Umbrellas
- Maintaining Memo Lists
- Configuring Currency Presentation and Styles
- Understanding Basic Icons and Controls