CCS Point of Sale
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guides:general:start [2011/07/12 08:33] markphillips |
guides:general:start [2012/03/26 18:16] markphillips |
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|[[guides:general:general_balancing_procedures|Closing Day and Balancing Drawer Procedures]]|General Daily Balancing Procedures for cashiers/servers and end of day reporting| | |[[guides:general:general_balancing_procedures|Closing Day and Balancing Drawer Procedures]]|General Daily Balancing Procedures for cashiers/servers and end of day reporting| | ||
|[[guides:general:balancesheets|Balance Sheets for Cashiers and Servers]]|Balance the cash drawer for each shift| | |[[guides:general:balancesheets|Balance Sheets for Cashiers and Servers]]|Balance the cash drawer for each shift| | ||
+ | |[guides:general:BlindDrop|Blind Drop Balance Sheets and Daily Reporting]| | ||
|[[guides:general:close_day|Close day]]|Close day, reporting options| | |[[guides:general:close_day|Close day]]|Close day, reporting options| | ||
^ Customer Based Features ^^^ | ^ Customer Based Features ^^^ | ||
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^ Maintanence ^^^ | ^ Maintanence ^^^ | ||
|[[guides:general:closeunclosedday|Fixing Closed Days]]|If your staff didn't close out yesterday, and you are already processing, here's how to fix it| | |[[guides:general:closeunclosedday|Fixing Closed Days]]|If your staff didn't close out yesterday, and you are already processing, here's how to fix it| | ||
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