CCS Point of Sale

Differences

This shows you the differences between two versions of the page.

Link to this comparison view

Next revision
Previous revision
office:manager_end_of_day_reporting [2009/03/06 22:09]
markphsd created
office:manager_end_of_day_reporting [2018/12/23 11:51] (current)
Line 1: Line 1:
-====== ​Open Orders - Daily Reports ​======+====== ​Managers End of Day Reporting ​====== 
 + 
 +   ​Access from Point of Sale Terminal ToolBar - Daily Reporting
  
-===== Toolbar - Daily Reports ===== 
 Daily Reporting clears out the sales at the end of the day. It also batches out the credit card sales to the processing company. It is important to do this function daily to ensure tips and credit cards are processed. ​ Daily Reporting clears out the sales at the end of the day. It also batches out the credit card sales to the processing company. It is important to do this function daily to ensure tips and credit cards are processed. ​
  

Navigation

^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:]]|