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Lists all checks for selected sites and/or site group(s) within a specified business date range. Real-time updates of transactional data can be made to this report.

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1Site(s) and Business DateSelect site(s) and or site group(s) and set date range for report 
2Business Start/End Date

Business start/end date for record shown

  • Default: current date
  • Select date from calendar tool or enter date
3Check #

Check number 

  • Click check number to display the check in receipt format (see below)
4

Area 

Site area where check was finalized
5Location Location number or Table number where check was finalized
6OwnerOwner of check
7Item Sales Total item sales on check
7
8Adjustments Adjustments applied to check 
8
9NR Sales Non-revenue sales
9
10NR Adjustments Non-revenue adjustments
10
11Gratuities Gratuities applied to the check
11
12Tax Tax applied to check
12
13Total Revenue Total revenue applied to check
13
14CC Credit card payment amount 
14
15GC Gift card payment amount 
15
16Alt Alternate payment amount
16
17Cash Cash amount 
17
18Deposit Deposit amount 
18
19CC Tips Credit card tips applied to check
19
20GC Tips Gift card tips applied to check
20
21Alt Tips Alternate payment tips applied to check
21
22Trans Type Transaction type: sale or refund
22
23Member Name Member account name (if applied)
23
24Phone Member telephone number
24
25Export Report Save file in PDF, EXCEL or CSV format

Check Reprint

  • Click check number to show the check in receipt format. 
    • Check can be exported to PDF format

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