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Cash Reconciliation with blind balancing option for each individual POS Terminal provides
excellent cash management and monthly reporting of any discrepancies. |
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Real time updating of all reports for
instant business analysis. |
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Complete
Electronic Journal of every transaction made at the POS Terminals including voids and error corrections made during the sale. |
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Search for any individual POS transaction by Receipt number, Terminal number, Inventory item, PLU, Table number, Member,
Clerk or Account Number. |
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Quick pop-up calendar for date range selection in all Report
Menus. |
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Half hourly sales with average sale per customer
and customer count report to assist with staffing levels in different
locations |
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Links with
POS-Vision Security Cameras for fraud prevention. |
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Track the number of sales, no-sales,
cancelled sales and credit sales (Voids) that have been done by
each operator with complete detail if required. |
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Any business that takes cash has a potential
theft problem and the best prevention is a POS system that gives
you very tight control over all the financial transactions that
are made at the Point of Sale. |