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Toshiba TEC MA-186 User Manual

Page 68

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EO1-11115

MA-186-100 SERIES

DPT

SHIFT

Report Name

Key Operation

Sample

Page

* Financial Read

Control Lock: X

63

* Financial Reset

(NOTE 2)

Control Lock: Z

Hourly Sales Read

Control Lock: X

66

Hourly Sales Reset

Control Lock: Z

All PLU Sales Read

Control Lock: X

66

All PLU Sales Reset

Control Lock: Z

Zone PLU Sales Read

Control Lock: X

66

Zone PLU Sales Reset

Control Lock: Z

* Media Sales and In-drawer Read

Control Lock: X

67

* Individual Cashier Read

(NOTE 3)

Control Lock: X

67

* Individual Cashier Reset

(NOTE 3) Control Lock: Z

Individual Department Read

Control Lock: X

68




@/FOR

PLU

AT/TL

0

1

AT/TL

PLU

Zone-start
PLU Code

Zone-end
PLU Code

(or

)

#/NS

#/CID

LOG

RECEIPT

Cashier Code:

1 to 8

AT/TL

(

) Dept.

Repeatable for

another department

4

AT/TL

AT/TL

0

2

Report Name

Key Operation

Sample

Page

* Financial Read

Control Lock: X

63

* Financial Reset

Control Lock: Z

* All Cashier Read

(NOTE 3)

Control Lock: X

68

* All Cashier Reset

(NOTE 3)

Control Lock: Z

Daily Reports:

Periodical Reports:

NOTES: 1. The cash drawer will open on the final key of the key operation for the reports marked with “*”.

2. If “Electronic Journal” option is selected (refer to “Chapter 16. System Option Setting”, Address

11-Bit 6 on page 77), the journal data will automatically printed after printing Financial Reset
Report. Also, refer to Chapter 18 on page 83.

3. Cashier Read and Reset Reports can be issued when the Cashier Signing Option is selected. (refer

to Chapter “16. System Option Setting”, Address 2-Bit 8 on page 72) Also, refer to Chapter 17
on page 82.

Report Sample Format:

On the following pages are sample formats of respective reports. In referring to those formats, please note
the following conditions:

In each report format, all the items that can be programmed to print are placed.

The data contents are merely examples to show the report format. The numeric data may not balance
correctly.

(Refer to the “Memory Balance” attached to the Daily Financial Read or Reset Report.)

This manual is related to the following products: