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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1 | Site(s) and Business Date | Select site(s) and or site group(s) and set date range for report |
2 | Business Start/End Date | Business start/end date for record shown - Default: current date
- Select date from calendar tool or enter date
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3 | Check # | Check number - Click check number to display the check in receipt format (see below)
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4 | Area | Site area where check was finalized |
5 | Location | Location number or Table number where check was finalized |
6 | Owner | Owner of check |
7 | Item Sales | Total item sales on check |
78 | Adjustments | Adjustments applied to check |
89 | NR Sales | Non-revenue sales |
910 | NR Adjustments | Non-revenue adjustments |
1011 | Gratuities | Gratuities applied to the check |
1112 | Tax | Tax applied to check |
1213 | Total Revenue | Total revenue applied to check |
1314 | CC | Credit card payment amount |
1415 | GC | Gift card payment amount |
1516 | Alt | Alternate payment amount |
16171819 | CC Tips | Credit card tips applied to check |
1920 | GC Tips | Gift card tips applied to check |
2021 | Alt Tips | Alternate payment tips applied to check |
2122 | Trans Type | Transaction type: sale or refund |
2223 | Member Name | Member account name (if applied) |
2324 | Phone | Member telephone number |
2425 | Export 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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