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training:pos_transaction_report0711131323

Problem Description

At the end of the day I need to cash out the drawer and balance all amounts that have been taken from customers based on the various types of tender received

Solution

Point of Sale transaction report will generate a segmented report based on tender type and group it together for balancing amounts to be deposited.

pos_transaction_report0711131323.flv

training/pos_transaction_report0711131323.txt · Last modified: 2007/11/14 10:30 (17 years ago) by 127.0.0.1