Home > Cash Management > Cash Reconciliations > How Do I...? > Perform An X-Read?
The X Read is a Point of Sale report which is used to basically show how much money is recorded in a particular Till, or for a given user. The X Read shows the sum of all the sales since the last X Read was carried out on the Till or for the given user. X Reads can be run from either the Point of Sale or from the backoffice.
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Start the X-Read task from the Main Menu. |
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Select the Location for which the X read should be produced for. If the Location has been set to for User based Z Reads, then select the User for which the X read should be produced for. Otherwise, select the Till which the X read should be produced for. |
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Select the Print button to generate a till read. |
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