Toshiba TEC MA-186 User Manual
Page 5

EO1-11115
MA-186-100 SERIES
Page
Operator’s Display ............................................................................................................... 7
Customer’s Display .............................................................................................................. 7
Numeric Display .................................................................................................................. 8
Message Descriptors (Triangular Lamps) ............................................................................ 8
Time Setting or Adjustment ................................................................................................ 13
Date Setting or Adjustment ................................................................................................ 14
Displaying the Time ........................................................................................................... 15
Printing the Time and Date ................................................................................................ 15
U.S. Tax Tables Setting (also applicable to PST in Canada) ............................................ 15
GST Rate Setting (applicable to Canada only) ................................................................. 19
Non-taxable Limit Amount Setting (applicable to only certain areas in Canada) ............... 20
Tax Calculation Test ........................................................................................................... 21
List of Keys ........................................................................................................................ 21
Key Installation Setting ...................................................................................................... 23
Blank Keyboard Sketch (for your planning aid) ................................................................ 23
Receipt-issue/Non-issue Selection .................................................................................... 27
Clearing Errors, or Clearing Wrong Declaration Key or Wrong Numeric Entries ............... 28
No-sale (Exchange) ........................................................................................................... 29
Received-on-Account Payment ......................................................................................... 30
Paid Out ............................................................................................................................. 31
Department Keys ............................................................................................................... 31
PLU (Price-Look-Up) (PLU Key) ........................................................................................ 40
Listing Capacity Open ....................................................................................................... 46
Percent Charge, Percent Discount .................................................................................... 46
Dollar Discount .................................................................................................................. 49
Item Correct (Last Line Voiding) ........................................................................................ 49
Void (Designated Line Voiding) ......................................................................................... 50
All Void (Transaction Cancel) ............................................................................................ 51
Returned Merchandise ...................................................................................................... 51
Non-add Number Print ....................................................................................................... 52
Subtotal Read .................................................................................................................... 53
Taxable Total Read ............................................................................................................ 53
Manual Tax Entry ............................................................................................................... 54
Finalizing a Sale ................................................................................................................ 54
Check Cashing (Cashing Non-cash Media) ...................................................................... 55
Post-issue Receipt ............................................................................................................. 55