Store Accounts tab
This section would only be for stores within a group where they have a Head Office. This is where Head Office can review the total balances for each store within the group.
- This tab displays a list of all stores within a group that have accounts set up. It will display the name of the store and the balance total ( this is the closing balance total)
- From this screen you can run a statement by selecting a store using the tick box and clicking statement
- Fill in the date range & press Generate
- Your statement will then generate for the selected period similar to the below
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You can also select:
- Add Transaction - Allow you to add a transaction directly to the account & bypassing the till
- Adjust Balance - Allows you to manually adjust the balance