Casio CE-T100 Calculator User Manual


 
75
Convenient Operations and Setups
E
To print the financial read report
This report shows gross sales, net sales, cash in drawer and check in drawer.
OPERATION REPORT
*1
Money declaration:
Count how much cash is in the drawer and input this amount (up to 8-digits).
The cash register will automatically compare the input with the cash in drawer in the memory and print the
difference between these two amounts.
Note that if money declaration is required by programming (page 47), you cannot skip this procedure.
To print the group read report
This report shows group totals.
OPERATION REPORT
X 06-15-2002 17:15
CLERK 01 000252
0006
GROUP
X
01
•••••••• QT 16
0.24% $54.50
02
•••••••• QT 25
0.09% $21.33
03
•••••••• QT 132
0.12% $90.78
•••••••••••• QT 6
0.02% $4.50
------------------------
TOTAL QT 156
0.47% $332.67
Read mode/date/time
Clerk/consecutive No.
Report code/report title/read
symbol
Group 01/No. of items
Sales ratio/group 01 amount
Total of non-group link PLUs
Total No. of items
Total amount
X 06-15-2002 17:10
CLERK 01 000251
FLASH
X
GROSS TOTAL QT 1216
$21954.50
NET TOTAL No 523
$27733.12
CASH-INDW $27289.10
# $27270.00
$19.10
CHARGE-INDW $398.00
CHECK-INDW $332.67
Read mode/date/time
Clerk/consecutive No.
Report title/read symbol
Gross No. of items
Gross amount
Net No. of customers
Net amount
Cash in drawer (b)
Declared amount (a)
Difference (b) - (a)
Charge in drawer
Check in drawer
8
6a
Mode Switch
X mode
8
8
x
Mode Switch
Money declaration
*1
(Cash in drawer amount Borb)
X mode
Issue this report before the daily sales reset report, otherwise the group totals are all reset.