Coin Machine Balance Procedures:
Hold down the top left corner of the screen of the coin machine, then enter the username and password (1111 for both) to access the Main System Menu.
On left hand side, click on Attendant Tab. Then, click on Bin and Business Day Clearing. Touch the grey buttons to print the Bin Report and print the Business Day Report. Take these two receipts and keep them with any coin machine receipts you have received that day. Then, touch the red button showing Clear Business Day. Do not clear the bin. After this is done, you can back out of these screens and return it to service by touching the Consumer Screen button in the bottom right of the Main System Menu.
While balancing the branch, you will print the Coin Machine Suspense GL for the previous business day. The number for the GL is: 87001080 -- Coin Machine Suspense
You want to make sure the Total Amt Processed on the Bin Report matches the total amount in the coin machine GL, the Total Amt Processed on the Business Day Report matches the entry totals on that date, and that you have the coin machine receipts for each of the transfers that were made during coin transactions.