Be able to generate a report with all revenues inside, including the POS revenue as well
The revenues generated by financial reports are not including the POS revenue. Those can only be seen down under in "Selling points". Then we have to add or sunstract revenues to know exactly what was generated in total
Hôtel MYRTILLES commented
Just as an idea.
For our part, we have solve this issue like this, as the POS is an EXTERNAL Interface anyway, and all detail of it can be seen from the POS himself.
We've created, several 'PAYMASTER ACCOUNT'.
Example : 1 For the cash paiement (one per outlet if necessary) / 1 for Credit or debit card payements / eso
And each time a invoice is to been settle, in the POS, we posted/settle it on one of the available PAYMASTER.
This has several avantage :
=> The revenue is included, in the hotel revenue on the right account
=> Each day, we can make a 'Resume Invoice' for :
===> The cash of the day in the POS
===> The Credit/Debit card of the day in the POS
===> eso, for each payement method
Very easy, to controll by the end of the day.
Mohamed Bahssi commented
Please add accounting report
Kashif Mahmood commented
Please add accounting report, we are not able to do the cross check
Accounting report - possibility to add a sheet with cumulated outlet+items together.