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Even though the session has not been closed yet, you can view the report whatever you want during the opened session.
In the POS screen, go to the menu and click Session Management. Then click on the X-Report.
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Note |
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If you want to have X-Report features, you must follow How to Enable Session Management |
On POS screen > Goto the menu > Session Management > X-Report.
FIELD NAME | DESCRIPTION |
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Net Amount | Display net amount in your session. |
Cash difference | Display the different amount between real closing amount & theoretical closing amount. |
#CASH | |
Opening Balance | Display Opening Balance of session that inputted by Staff. |
Closing Balance | Display Closing amount of session that inputted by Staff (real closing amount). |
Theoretical | Display theoretical closing amount. |
Cash Difference | Display the different amount between real closing amount & theoretical closing amount. |
Cash Sales | Display Cash Amount that cashier has received from customer except for Change Amount, including checkout process & take payment process. |
Cash Refund | Display Cash Amount that cashier refunded to customer, in Refund process. |
Pay Ins | Display the cash amount that cashier PUT IN cash drawer in his session. |
Pay Outs | Display the cash amount that cashiers TAKE OUT cash drawer in their session |
#PAYMENT | |
Payment method name | List all payment method name & its value that is occurred in session, including: |
#SALES | |
Total amount | The amount is sum of amount of all payment method that you received in your session. |
Refund amount | The amount is sum of amount of all payment method that you paid back to customer according to the Refund process in your session. |
Net amount | Formula: Net Amount = [Total Amount] – [Refund Amount] |
Printed at: | Display time the report is printed. |