Can I see cash payments separately in LegitFit?
Track manually logged cash transactions alongside card payments.
Why Use This Feature
Viewing cash payments separately helps you keep accurate records and makes it easier to combine cash and card income when preparing accounts.
Step-by-Step Instructions
-
Go to Reports > Payments.
-
Scroll down to the Cash Payments table.
-
This table lists all cash transactions you have manually logged.
-
Commonly used for package payments taken in cash.
-
-
Cash payments are not merged with card payments in the Payments table.
-
To export cash payments:
-
Use the Download option in the Cash Payments section.
-
Save or send the file to your accountant if needed.
-
What Happens Next
You’ll be able to track and export cash transactions separately, keeping your financial records complete and accurate.
Success Tip
Log cash payments as soon as you receive them to avoid discrepancies in your reports.