CCS Point of Sale

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====== Making Paid Outs ====== Making a paid out requires you have a transaction type of "Register Paid Out" You can add this transaction type to your POS system if it's not already there. Office - Transaction Management - Add New Type - "Register Paid Out" Set the transaction type to be a Register type. Leave everything as it is. To make a pay out: 1. Start any kind of tansaction. 2. Enter an item, you can make "Paid Out Items" if you would like, or use misc. open priced items. 3. Go to the payment screen. Managers will see a "Cash Pay Out" button. Pressing this button will change the transaction type to the Register Paid Out, and apply a negative value. The paid out will show up under the Daily Closing Sheet Report and reflect negatively against the sales.


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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:]]|