Cheque Cash and Office Management Program

Date 24 January 2017
Author exceldepo
Category Business
Type XLSX

An Excel file that teaches how to perform Cheque Cash and Office Management Program operation.

Excel-Based Cheque Cash and Office Management Program

Authorization levels are enforced through page protection. Transaction types are defined using standard codes. Cash balance is calculated in real time. Overdue checks are displayed on the warning list. Reports are provided on a weekly basis.

Hope it is useful.

ADVERTISEMENT AREA

Related Files