Chapter 5 - Reports | Reports Overview |
5.1.2Report Balancing Notes
Menu Item Sales
•Sales of menu items update all reports as they are entered on to checks. So, reports always represent
•If there are any discrepancies in a check amount from when the items are entered to when it is tendered, the difference is noted on reports.
User Reports
•Amounts transferred from one server to another are posted under “Other” in the Department and Category summaries.
•If a Category is set to not track totals on User Reports, Category and Department totals for the Category’s items sold are reported as “Other”.
Carried Over
•Amounts of checks left open during a Reset are included on the next day’s reports and are labeled “Carried Over”.