CCS Point of Sale

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office:inventory:inventory_reconciliation [2009/03/05 03:06]
markphsd created
office:inventory:inventory_reconciliation [2009/03/05 03:06]
markphsd
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 ^There are two parts of reconciliation:​ The Periods, and the Details:| ^There are two parts of reconciliation:​ The Periods, and the Details:|
 |Periods and Features| |Periods and Features|
-|Add Period:​|Generates a New Period based on the current date +|Add Period:​|Generates a New Period based on the current date| 
-|Show Period:​|Displays the selected period in the period list+|Show Period:​|Displays the selected period in the period list|
 |Update Item Count to Reconciliation:​|Updates all items quantity on hand to ending values of reconciliation.| |Update Item Count to Reconciliation:​|Updates all items quantity on hand to ending values of reconciliation.|
 |Close Period:​|Closes Period.| ​ |Close Period:​|Closes Period.| ​

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^From the Ground Up!| |[[Getting Started:]]| |[[Installation Guide:]]| |[[Pre Installation:]]| |[[Install CCS:]]| |[[Install New Database:]]| ^Guides| |[[Guides:]]| |[[FAQ:]]| |[[Trouble Shooting:]]| ^Credit Card Setup| |[[Data Cap Epay:]]| ^CCS Administration| |[[ Office:Office - General Management]]| ^CCS Terminal| |[[Office:Terminal]]| ^Hand Held Setup| |[[Hand Held:|Tablet]]| ^Kitchen Display| |[[KDS Software Setup:]]|