TABLE OF CONTENTS

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TRANSACTION EXAMPLES FOR OPERATING THE CASH REGISTER

....................................................28

SAMPLE RECEIPT.......................................................................................................................................

28

TRANSACTION SYMBOLS .........................................................................................................................

28

STANDARD TRANSACTIONS ....................................................................................................................

29

Registering a Single Item Sale and Tendering Change.........................................................................

29

Registering a Sale to Multiple Items .......................................................................................................

29

Registering a Charge Transaction..........................................................................................................

29

Using Split Tendering..............................................................................................................................

30

MINUS (-) KEY TRANSACTIONS................................................................................................................

30

Registering a (-) Reduction (Coupon).....................................................................................................

30

PERCENT DISCOUNT (-%) TRANSACTIONS ..........................................................................................

30

Discounting (-%) Individual Items ...........................................................................................................

30

Using a Preset Discount (-%) on the Total Sale.....................................................................................

30

Using a Preset Discount (-%) on Individual Items..................................................................................

30

Overriding the Preset Discount (-%).......................................................................................................

31

PLU CODES .................................................................................................................................................

32

Using Fixed PLU Price ............................................................................................................................

32

Using Open PLU Price............................................................................................................................

32

Overriding Open PLU Price ....................................................................................................................

32

VOID AND REFUNDS..................................................................................................................................

33

Voiding the Previous Entry in the Middle of a Sale ................................................................................

33

Voiding a Single Item ..............................................................................................................................

33

Voiding Multiple Items .............................................................................................................................

33

Refunding a Single Item..........................................................................................................................

34

Refunding Multiple Items.........................................................................................................................

34

TAX OVERRIDE TRANSACTIONS.............................................................................................................

35

Exempting Tax on an Item ......................................................................................................................

35

Exempting Tax on an Entire Sale ...........................................................................................................

35

Adding Tax to a Non-Taxed Department................................................................................................

35

OTHER TRANSACTIONS............................................................................................................................

36

Registering Money Received on Account ..............................................................................................

36

Paying Money Out...................................................................................................................................

36

Registering an Identification Number .....................................................................................................

36

Registering a No Sale .............................................................................................................................

36

MANAGEMENT REPORTS ..............................................................................................................................

37

"X" POSITION REPORT ..............................................................................................................................

37

"Z" POSITION REPORT AND RESET ........................................................................................................

37

PRINTING THE SALES REPORT ...............................................................................................................

37

CLEARING THE GRAND TOTAL................................................................................................................

37

SAMPLE MANAGEMENT REPORT ...........................................................................................................

38

BALANCING FORMULAS............................................................................................................................

39

PLU REPORT ...............................................................................................................................................

40

TROUBLESHOOTING (FULL SYSTEM CLEAR PROCEDURE) ..................................................................

41

TAX SYSTEM PRESET.....................................................................................................................................

42

VAT TAX SYSTEM ............................................................................................................................................

43

CANADIAN TAX SYSTEM..........................................................................................................................

44-45

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