CCS Point of Sale
You are here: start » office » transaction_management » managing_reports
Differences
This shows you the differences between two versions of the page.
Both sides previous revision Previous revision | Next revision Both sides next revision | ||
office:transaction_management:managing_reports [2009/03/05 04:31] markphsd |
office:transaction_management:managing_reports [2009/03/05 04:32] markphsd |
||
---|---|---|---|
Line 1: | Line 1: | ||
+ | ====== Managing Outstanding Balances of Accounts in the Point of Sale. ====== | ||
+ | |||
Outstanding balances for all Accounts (accounts can include multiple customers), or Customers | Outstanding balances for all Accounts (accounts can include multiple customers), or Customers | ||
Trace: