Retail POS Accounts – Daily Reports
In this accounts – daily reports user will get all the reports like day book, cash book and etc for […]
Cheque Represent entry in Retail POS Accounts
After cheque bounce entry, If user get the same cheque number which is bounced before user can represent the bounced […]
Cheque Bounce entry in Retail POS Accounts
Cheque bounce menu screen is used to update the bounced cheque details in accounts for better cheque tracking. Business rules
Cheque Deposit entry in Retail POS Accounts
Once the receipt entry made by user using the cheque ledger, then the cheque deposit entry has to be done […]
Bank Reconciliation Statement in Retail POS Accounts
Bank reconciliation menu screen is used to update the clear date to bank cheque payment and also this screen will […]
Statutory Reports
In this statutory reports user will get all the reports which belongs to GSTR HSN summary. In retail POS reports […]
Audit Reports
In this audit reports user will get all the reports which belongs to user activities. In retail POS reports user […]
Stock Transfer – Indent Reports
In this stock transfer – indent reports user will get all the reports which belongs to outlet stock indent request. […]
Stock Transfer – Location stock transfer Reports
In this stock transfer – location stock transfer reports user will get all the reports which belongs to location wise […]