Release Date: 13 August 2002

Requirements

Updates

  • Altered how each till type calculates its totals at sign off. The process now uses credit and debit registry entries set up for use by the end of day process.
  • End of day process which totals takings and sales for the day. It also records pending refunds.
  • End of month process which totals all of the takings for end of day.
  • Total rework of POS cancel and refund procedures. 
  • Added Refund and refund pending information to the cashbook.

Issues Resolved

  • Balance amount was sometimes incorrect when refund item had been applied.