The Manager screen is the part of Point of Sale where you can perform various actions that manage parts of the POS.
A No Sale opens the cash drawer and prints out a No Sale receipt, this is a way of testing these peripherals and opening the Cash Drawer. No Sale’s are recorded on Back Office. This can be used if you have given the incorrect change to a customer.
A Payout is for if petty cash is required from the cash drawer. This will ask for the amount you wish to take, and will record this on the z read and back office. This can be used for if a window cleaner needs paying or stationary is required.
A Pay In allows you to pay money in to the cash drawer. This can be used for adding change , top up float or paying in change from a pay out.
X Reads can be carried out at any point of the day to show total of sales at any point of the say without resetting the overall figures.
A Z Read, also know as End of The Day Procedure. This allows you to cash up the till and prints off a report for the days takings. Once the z read is complete this resets the sales data ready for the next day.
X/Z Configuration lets you select what information is printed on the X/Z Reads.
The Journal keeps an electronic record of every transaction that has been processed though the Point of sale.