4-9-1. OPEN DRAWER | 48 |
4-9-2. NON ADD NUMBER | 49 |
4-10. RECEIVED ON ACCOUNT | 49 |
4-11. PAID OUT | 49 |
4-11-1. PAID OUT OPERATION | 49 |
4-11-2. RECEIPT BUFFER | 51 |
4-12. SUBTOTAL | 52 |
4-13. TENDER | 52 |
4-13-1. CASH TENDER | 52 |
4-13-2. CHECK TENDER | 52 |
4-13-3. CHARGE TENDER | 53 |
4-13-4. CHECK CASHING | 53 |
4-13-5. SPLIT TENDER | 53 |
4-13-6. POST TENDER | 54 |
5. VOID POSITION OPERATIONS | 54 |
6. REPORTS | 55 |
6-1. CASH-IN-DRAWER DECLARATION | 55 |
6-2. CASH-IN-DRAWER REPORT | 56 |
6-3. CHECK-IN-DRAWER REPORT | 56 |
6-4. FINANCIAL REPORT | 56 |
6-4-1. FINANCIAL DAILY REPORT - X MODE | 57 |
6-4-2. FINANCIAL DAILY REPORT - Z MODE | 57 |
6-4-3. FINANCIAL PERIOD REPORT - X MODE | 57 |
6-4-4. FINANCIAL PERIOD REPORT - Z MODE | 57 |
6-5. TIME REPORT | 61 |
6-6-1. FROM-TO PLU REPORT | 62 |
6-6-2. TOTAL PLU REPORT | 62 |
6-7. CLERK REPORT | 63 |
SYSTEM BALANCING | 65 |
7-1. DEPARMENT SALES TOTAL | 65 |
7-2. NET TOTAL | 65 |
7-3. GROSS TOTAL | 65 |
7-4. GRAND TOTAL | 65 |
SPECIFICATION | 66 |