
97
Convenient Operations and Setups
To print the financial read report
This report shows gross sales, net sales, cash in drawer and check in drawer.
OPERATION
REPORT
08-22-97 16:47 0001
X C01 000161
FLASH X
GROSS QT 683
$3166.48
NET No 97
$3275.76
CAID $988.37
# $975.27
$13.10
CKID $1287.40
CRID $200.00
— Date/time/machine No.
— Read mode/clerk/consecutive No.
— Report title/read symbol
— Gross No. of items
— Gross amount
— Net No. of customers
— Net amount
— Cash in drawer (b)
— Declared amount (a)
— Difference (b) - (a)
— Check in drawer
— Credit in drawer
08-22-97 16:49 0001
X C01 000162
0006 GROUP X
01•••••••• QT 52
6.56% $207.97
02•••••••• QT 38
4.93% $156.24
03•••••••• QT 89
13.74% $435.28
•••••••• QT 20
3.75% $118.83
------------------------
TOTAL QT 683
100.0% $3166.48
— Date/time/machine No.
— Read mode/clerk/consecutive No.
— Report code/report title/read
symbol
— Group 01/No. of items
— Sales ratio/group 01 amount
— Total of non-group link PLUs
— Total No. of items
— Total amount
PGM
A-A08
Mode Switch
X
Z
CAL
REG
OFF
RF
PGM
8
6
F
PGM
A-A08
Mode Switch
X
Z
CAL
REG
OFF
RF
PGM
8
Money declaration
*1
(Cash in drawer amount
B
)
8
x
*1
Money declaration;
Count how much cash is in the drawer and input this amount (up to 8-digits).
The cash register will automatically compare the input with the cash in drawer in the memory and print the
difference between these two amounts.
Note that if money declaration is required by programming (page 55), you cannot skip this procedure.
To print the group PLU read report
This report shows PLU/flat-PLU/subdepartment group totals.
OPERATION
REPORT