Chapter 5 - Reports | Financial Report |
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Media - This section of the Financial Report contains media balancing totals to be reconciled with deposits and cash drawers.
Media
Cash | | | | % |
7 | 55.25 | 72.50 | ||
Check | 3 | 20.96 | 27.50 | % |
Total |
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| 76.21 |
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| The number of times this media was used. |
| The Total amount collected of this media. |
| Each media’s percentage of Total Media collected. |
Cash Tips | 0.00 |
Charge Tips | 0.00 |
Declared Tips | .00 |
| Tips included in checks with [Cash Tips]. |
| Tips included in checks with [Charge Tips]. |
| Declared Tips = Cash Tips + Charge Tips |
| Prints if MIN TIP % is set in System Setup |
Deposit – This section is created from entries made in the Deposit function. Media types that display are those with the option set for IN DEPOSIT LST.
Deposit
Cash | 30.00 |
Check | 15.58 |
Total | 45.58 |
Diff | 1.08- |
DIFF is the total reported thru the system minus the entries made in the Deposit Entry report selection.
Cash Balance – Calculates cash amount for reconciling with the cash drawer(s). Cash media type is defined by the System Setup option CASH MEDIA ID. It is recommended that CASH be always set as Media #1.
Cash Balance
Gross Sales | 46.66 |
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Total Due | < | |
46.66 | ||
Check | 20.96- |
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Cash Due | < | |
25.70 |