Simplify the collection of tax payments and revenues
Tyler's Tax-Wise Cash Receipting simplifies the way your office collects tax payments and revenues by using an unlimited number of recurring templates containing default information and general ledger accounting entries. That means accurate general ledger posting and reporting, reduced data entry time for staff who post transactions, and, most important of all, money back in your pocket.
Cash Receipting can also spread a dollar amount through a tax levy table for any district or tax year. End-of-day balancing reports can be generated by the clerk, drawer or receipt type for a single transaction date or whatever period of time you desire.
The Tax-Wise Cash Receipting software module:
- Enables cash receipts entry and processing from one simple screen
- Allows user-defined receipt form set-up
- Handles multiple receipt types in a single transaction
- Offers multiple cash drawer tracking and balancing
- Handles cash, checks or mixed payments in one transaction
- Offers template features that store/recall recurring entries
- Allows template to be set up to read a tax levy table
- Provides excellent online inquiry capability
- Enables easy error correction
- Delivers built-in, table-driven security
- Integrates with other Tax-Wise modules.