Lists all checks for selected sites with a specified business date range. Real-time updates of transactional data can be made to this report.
1 | Site(s) and Business Date | Select site(s) and set date range for report |
2 | Date | Specified business date range |
3 | Check # | Check number
|
4 | Area | ECM Site Area where check was finalized |
5 | Location | Location # or Table # where check was finalized |
6 | Item Sales | Total item sales taken on check |
7 | Adjustments | Adjustments added on check |
8 | NR Sales | Non-Revenue Sales |
9 | NR Adjustments | Non-Revenue Adjustments |
10 | Gratuities | Gratuities applied to the check |
11 | Tax | Tax applied to check |
12 | Total Revenue | Total revenue applied to check |
13 | CC | Credit Card amount displayed |
14 | GC | Gift Card amount displayed |
15 | Alt | Alternate Payment |
16 | Cash | Cash amount displayed |
17 | Deposit | Deposit amount displayed |
18 | CC Tips | Credit Card tips applied to check |
19 | GC Tips | Gift Card tips applied to check |
20 | Alt Tips | Alternate Payment Tips applied to check |
21 | Trans Type | Transaction Types Sale and Refund |
22 | Member Name | Member Account Name (if applied) |
23 | Phone | Telephone number |
24 | Export Report | Save file in PDF, EXCEL or CSV format |
- Click check number to show the check in receipt format.
- Check can be exported to PDF format