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title0450_StoreSettlementPerOperator

CO: 156791. Based on report 0709.


Description:

Report allows to follow up store settlement: on first page settlement for all selected cashiers (if all cashiers are selected it equals whole store settlement) and settlement per each cashier on following pages. Report is divided in 9 subreports which will be descriped separatly below.

Selections (applies to all subreports): 

  • Date from - Default today
  • Date to - Default today
  • Store - Default all
  • Operator -Default all

Subreports:

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title1410_subSettlement

Columns:

  • Tender type - payment method
  • Received - Sales amount inc. VAT received in given tender type
  • Balance - Money amount registered in the end of the day (sum for selected operators who made balance and selected days)
  • Difference - Balance - Received
  • Qunatity - Number of items sold in given tender type

Output:

One row per one tender type

Clarifications:

  • Balance and Difference make sense only for cash since only cash it's kept in cash register.


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title1701_subCurrency

Columns:

  • Currency
  • Balance (Beholdning): Sales amount inc. VAT in main currency
  • Balance local value: Sales amount inc. VAT in received currency
  • Balance (Oppgjør): Money amount registered in the end of the day in given currency (sum for selected operators who made balance and selected days)
  • Difference: Balance (Oppgjør) - Balance (Beholdning)
  • Diff. local value:  Balance (Money amount registered in the end of the day) in main currency - Balance local value



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title1423_subCurrencyRate

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title1424_subValueCoupon

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title1707_subRounding

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title1705_subVAT

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title1405_subDepositRefound

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title1406_subDiscounts

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title1411_subStatistics

Source:

  • Lindbak POS Reporting cube (OLAP)

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