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Navy Cash Standard Operating Procedures - Financial Management ...

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6.11.4 Merchant Settlement ReportRun Date: 05/18/2005Run Time: 00:08:42Report name: TRAN_Ship_Merchant_Settle_DPage: 1<strong>Navy</strong> <strong>Cash</strong>Daily Transaction Detail Report - Merchant SettlementLocation: USS NEVERSAILDate: 05/16/2005 00:12:52 To 05/17/2005 03:43:22--------------------------------------------------------------------Merchant: POST OFFICE 800000026283Settlement Date: 17-MAY-05Settlement Type: NAVY CASHBatch Date Amount C---------------- ---------------- ---------------- -R21452_1022 05/17/05 03:20 $772.32---------------- ---------------- ---------------- -Settlement Total $772.32Merchant POST OFFICE 800000026283 Total: $772.32--------------------------------------------------------------------* C = Correction Transactions.****** End of the Report *****NC SOP Ver 1.12 Chpt 6 Post Office.doc 6-11 10-Aug-07

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