- How can I verify the accuracy of the fee collection report and ensure it displays the correct amounts for each fee category?
- How can I reconcile differences between the fee collection report and the settlement report?
- How can I generate a report for post-dated cheques with their deposit dates?
- How can I align the payment transaction date and settlement date in fee reporting for accurate financial record-keeping?
- How can I obtain details of students for whom the fee has been waived?