RETAIL10 — Cash Drawer Reconciliation

Operational Reports > Retail

What is in this report?

Cash drawer reconciliation reportA set of data deliberately laid out to communicate business information. Depending on the context, 'report' may refer to report specification or report output. Report (more precisely, report specification) is the generic term for the objects created or edited in Cognos Analytics. Pronto Xi Business Intelligence offers a suite of standard reports. for a selected transaction period, by store, and cash drawer.

How do I use it?

FiltersSelectively remove data from view. include:

  • Transaction Date — for the transaction date, select a period

  • Store — select one ore more stores in the list, enter a store or store range

  • Cash Drawer — enter a cash drawer code or cash drawer code range

What can I do in the report?

Right-click any of the drill-down links and select Open link in new tab to viewA set of data connected to a cube, deliberately laid out to communicate business information. the data in Pronto Xi.