- 178 - SPS-500
PLU STOCK
PLUs designated as stock PLUs (see PLU Status Group Programming) will appear on this report.
FINANCIAL REPORT
X1 REPORT 0003
DESCRIPTOR COUNT
BOTTLE BECKS 1234
EMPLOYEE: DEBI BARTON #01
TIME 09:03 NO.000000
PLU STOCK BY GROUP
Further stock reporting formats are available
FINANCIAL REPORT
X1 REPORT 0003
DESCRIPTOR COUNT
BOTTLE BECKS 1234
BOTTLE BEERS
TOTAL 1234
EMPLOYEE: DEBI BARTON #01
TIME 09:03 NO.000000
ELECTRONIC JOURNAL
This terminal has a very sophisticated analysis on journal reporting. All information can be selected by individual
transaction type to be stored and reported extracted as required i.e. all Cash Transactions, VOIDs etc
CASH TRANSACTIONS - All cash sales made during normal operation
CHECK TRANSACTIONS - All check sales made during normal operation
MISC TEND TRANSACTIONS - All Miscellaneous tender operations made during normal operation
TRANSACTIONS WITH % - All sales containing a discount or premium operation
RECD ACCT & PAID OUT - All received on account or Paid out sales transactions
RETURN TRANSACTIONS - All Merchandise Return sales transactions
WITH ERROR CORRECTS & VOIDS
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All Transactions containing an error correct or voids.
NO SALES - All Transactions containing no sale operations.
CANCEL TRANSACTIONS - All Register Mode cancelled transactions
TRANSACTIONS WITH NEGATIVE - All Transactions with negative product sales.
REPORTS - All Read & Reset reports which are printed
PROGRAM SCANS - All Program scans which are printed.
CHECK TRACKING - All sales registered for open checks.
CLERK INTERRUPT -All sales containing clerk interrupt balances
PAY BY POINTS -All sales where Smartcard payment by points has been used.