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  1. StoreActivitiesEnd of Day

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2. Click New button to create new End of Day

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3. Supply Info in the following: Store No , End of Day Date, Shift No and End of Day Type: Automatic..

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4.  Select Register files and import day. 

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5. Clicking save will add all sales to end of day.  Select Departments totals to verify info. 

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6. Payment options will show all Method of Payments.  Amount can be edited. 

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7. Customer Charges and Customer Payments will show any charges or payments from customers from the day.

Note: Customer, Type, Comment, Unit price, Quantity, Tax, and Amount can be edited in Charges. Customer, Invoice, Payment, Discount, Payment Method, Check no, and Comment can be edited in Payments

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8.Sales Tax Totals- any sales tax collected for the day will appear here. Shift Physical- used for counts and invoice received, transferred, and adjustments.

Note: Items can be grouped together to show in count group in item location. 

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9. Deposits screen is where all cash taken in is entered.  

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10. Receive Lottery is where tickets coming into store are entered, Return Lottery is where tickets that are picked up by lottery are entered.  Click add to begin.

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11. ATM- used to keep track of ATM money. Withdrawals, Replenished, End Balance Actual can be edited.

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12. Change Fund is used to keep track of drawer money that revolves and petty cash located in safe.

Note: These are set up in Store under Change Fund

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13. Mark up/Down shows any made for the day

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14. Post Preview will generate GL's for the day. Click Save button to proceed. Image Removed