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11
OVERVIEW OF FLOW OF DAILY SALES ENTRIES
Things to do before starting sales entries:
Make sure the power cord is securely connected to the AC outlet.
Turn the mode switch to OP X/Z position and check if date and time are correctly set.
Replace the till, if removed for safety.
Check if there is enough paper on each roll.
Select receipt ON/OFF function.
Make any necessary programming for the day in PGM mode.
For details, refer to BASIC SALES ENTRY, page 12. For the till and paper roll, refer to OPERATOR
MAINTENANCE, page 64 and for programming, refer to programming sections.
Things you can do for sales entries:
Item entries
Item repeat entries
Item multiplication entries
Single item cash sale (SICS), if programmed.
Split pricing entries, if programmed.
Displaying subtotals
Cash/Check/Charge sale
Cash tendering in a foreign currency, if the currency conversion rate is programmed.
Manual tax entry
Discount or premium using
%&
and
-
key
Refund entry
No sale
Paid-out entries
Received on account entries
Printing non-add code number
Making corrections
Checking sales reports
For details of sales entry method, refer to BASIC SALES ENTRY (page 12) and OPTIONAL FEATURES
(page 21) sections and for details of correcting sales entries, refer to CORRECTION (page 25) section. For
details of reading sales information, refer to READING (X) AND RESETTING (Z) OF SALES TOTAL (page 57)
section.
Things to do after close of business:
Print sales reports, and clear sales data for the day.
Account money - comparing it with the amount in cash in drawer printed on the general report.
Remove the till for safety.
Turn the mode switch to OFF position.
For details of reading sales information, refer to READING (X) AND RESETTING (Z) OF SALES TOTAL (page
57) section. For details of removing the till and maintenance details, refer to OPERATOR MAINTENANCE
(page 64) section.
FOR THE OPERATOR
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