Once the retail day is over, it's time to tally up the sales, count the money, exchange information with your financial software, and back up your data.
In a multi-worktstation configuration, the End of Day procedure must be run from the server workstation if you wish to include a data back up, Financial Exchange, and Store Exchange.
To perform End of Day in Point of Sale
- From the I want to drop-down, choose End of Day.
- Check all applicable actions that you want to perform:
- Run End of Day Report
- Back up your company data
- Send data to remote stores
- Exchange data with QuickBooks
- Select Start and wait for the process to finish.