Description
This section outlines the final IT tasks related to payments and reporting at the end of the event. It includes generating and reviewing financial, partner, and item reports, ensuring all figures align with actual received funds, and correcting any discrepancies manually. Barbora will assist in explaining the available data and filters within the reports. The process also includes officially closing the fair in the system by updating its status and adjusting visibility settings if necessary. These steps help ensure accurate records and a smooth financial wrap-up.



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