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Whether revenue is in the safe, deposit box, bank or cash drawer, Comtrex Back of House software keeps track of it. Whatever media is accepted, you can tell at a glance where it is and who is responsible for it. Transfers of revenue are made when you want, to/from cashiers, to the bank or back office safe, or held for deposit. Up to date balances are also available for every account held, including bank activity. The system can be as simple or comprehensive as you wish according to your needs.
Point of Sale Includes revenue held by operators/waiting staff.
Back Office Account Shows revenue, (cash, credit cards, checks, vouchers etc), held in the safe or deposit envelopes.
Over/Short Account Used to track variances in counting operations, automatically printing a report for signature should there be a deficit.
Bank Account Displays what cash or checks have been deposited over any given period.
Expense Account Tracks cost of local purchases or repairs, cleaning materials etc.
Other External Account Designed to list all external purchasing from local stock purchases, to employee advances, gift certificates etc.
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