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  1. Locate and click on Before Posting Reports from the ribbon or Print Before-Posting Reports from the checklist.
  2. Reports required by your District are checked off by default. You may choose to print additional reports by placing a checkmark in each report box. When you are done, click Ok.
  3.  In the Print Preview window, select the appropriate action.

    1Search - Allows you to search the report(s) for specific text.
    2Open - Allows you to open an existing saved report.
    3Save - Allows you to save the report(s) to a local or network drive.
    4Print - Opens the Printwindow to select a printer and establish print options.
    5Quick Print - Automatically prints the report to the default printer.
    6Page Navigation Arrows - Allows you to quickly navigate pages or to the beginning or end of the report.
    7Export - Allows you to select a format type in which to export the report.
    8Close - Closes the Print Preview window.


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    titleLine Details (Before Posting) - Review the Line Details (Before Posting) report.

    The Line Details report shows the meal type, batch number, serving line name, time the meal was served, customer the meal was sold to, customer's meal status, item/adjustment description, purchase type, meal/item cost, amount tendered by customer, total meals sold in a batch, batch meal cost total, batch amount tendered total, meal cost total, and meal amount tendered total.
     


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    titleMeal Summary - Review the Meal Summary (Before Posting) report.

    The Meal Summary report breaks down meals by item (item description, count, item cost, cash tendered, prepaids used), item category (category description, count, item cost, cash tendered, prepaids used), adjustment summary (adjustment description, count, amount) and provides a summary of all meals.
     


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    titleInitial Summary (Before Posting) - Review the Initial Summary (Before Posting) report.

    The Initial Summary report provides details of meals and breaks the compiled information down to show the line number/description, the number of each meal status types, at cost counts, a la carte counts, total meals served, total cash collected, and variance amount.
     


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    titleAdjustment Details (Before Posting) - Review the Adjustment Details (Before Posting) report.

    The Adjustment Details report shows transaction details affecting deposits (payments and refunds) and non-deposits (corrections and transfers). The transaction date and time, user completing the transaction, customer POS ID, customer name, amount, check number/check date (if applicable), and transaction totals are included in the report.
     

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    titleClick here to expand...Amount Tendered (Before Posting) - Review the Amount Tendered (Before Posting) report.

    The Amount Tendered report displays amounts paid for each meal. The POS ID, meal benefit category, customer name, check number/date (if applicable), and amount is displayed for each monetary transaction. Additionally, line totals, meal totals, and total amount collected are displayed. 
     


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    titleDouble Card Usage (Before Posting) - Review the Double Card Usage (Before Posting) report.

    The Double Card Usage report displays customers with multiple sales during a meal.

    Info

    If meals have been sold for a different operating day other than the current day, those transactions will appear as well if they have not been skipped. Click on the links to review Questions about Posting in the Tips and Troubleshooting for instructions on how to handle various posting situations.


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    titleFunction Key Sales (Before Posting) - Review the Function Key Sales (Before Posting) report.

    The Function Key Sales report reflects any sales that occurred during the session through pressing one of the function keys (F1, F2, F3, etc.). 


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    titleCash Drawer Report (Before posting) - Review the Cash Drawer Report (Before Posting) report.

    The Cash Drawer Report shows a summary of each starting cash, tender counts of cash and checks, miscellaneous cash, total amount tendered, and overages and shortages for each batch. Totals for all batches are displayed as well.
     

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    titleReimbursable Meals Served (Before Posting) - Review the Reimbursable Meals Served (Before Posting) report.

    The Reimbursable Meals Served report breaks down any reimbursable meals served by the customer and include the student number, customer name, price category, and meal the customer received. Meals are totaled by price category and total amounts of reimbursable meals sold.


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    titleVoid and Edit Comments (Before Posting) - Review the Void and Edit Comments (Before Posting) report.

    The Void and Edit Comments report displays the batch number, serving line, user, student number, student name, type of change, and comments as to why a change has occurred when voids and edits have been made.
     


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    titleMultiple Transactions per Meal (Before Posting) - Review the Multiple Transactions per Meal (Before Posting) report.

    The Multiple Transactions per Meal report reflects any customers which have had multiple transactions during a meal. The report displays the POS ID, customer name, meal, time the transaction occurred, the line number, cashier name, purchase/adjustment description, price of item/meal, and amount tendered.
     


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    titleAt-Cost Meals (Before Posting) - Review the At-Cost Meals (Before Posting) report.

    The At-Cost Meals report displays any meals which were sold at-cost. The serving line, transactions date, customer, item description and item cost are displayed and the total at-cost transactions. 
     


     

     

     

     

     

     

     

     

     

     

     

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Post Day
Post Day
Post Day

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Info

On occasion, an operating day may not be able to be posted. You should also review Questions about Posting in the  Tips and Troubleshooting to complete different processes.

  1. Locate and click on Post Day from the ribbon or Post Operating Day from the checklist.
  2. Complete the Post Operating Day procedures.

    Info

    It may not be necessary to complete procedures in all available tabs. If you are unsure which procedures you need to complete, contact your supervisor or Central Office staff.

    1. Blind Deposit - You may be prompted to enter a bling deposit depending on your District's requirements and you have not yet done so.
    2. Bank Deposit - Complete Bank Deposit details.

      Info

      Click Edit Counts to adjust the final deposit amounts if incorrect.

      1. Cash Receipts - Enter cash amounts in the Bank Deposit tab.

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      1. If no cash was received, click No cash was allocated today.
      2. Totals - Click the ellipsis icon to open the Tally Checks window. The Total Cash amount is calculated by entering figures in the Cash Receipts area.

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        titleTally Checks - Review check details.

        Review check transaction details including the transaction date, customer name, amount of check, check #, check date, cashier who accepted the check, and comments. You may ship a check from posting by unchecking the cell for the correct transaction.

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      1. Bank Deposit - Enter the Deposit Slip # and any comments.
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    1. Daily Figures -

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    1.  In the Daily Figures tab, review the transactions and make necessary changes. Once you have reviewed the daily figures, click Reviewed in the top right-hand corner.

      Note

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    1. titlePosting for Multiple Schools

      If you post the operating day for more than one school, use the drop-down

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    1. menu next to School to select the other school

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    1. . Review Daily Figures and click the Reviewed box for the additional schools.

      Info
      titleReceipt Totals & Variance affected by Expenses & Revenue

      Best practice is to enter Expenses & Revenue figures prior to marking Daily Figures Reviewed as "Receipt Totals & Variance" amounts as subject to change.

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    2. Expenses & Revenue - In the Expenses & Revenue tab, complete any necessary revenues or expenses that will be included in the daily deposit. Income and expenses recorded in daily posts include vending machine expenses/income and unexpected food purchases such as milk or bread.

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    1. Info
      titleReceipt Totals & Variance affected by Expenses & Revenue

      If you have already reviewed Daily Figures and made adjustments to Expenses & Revenue, you should review Daily Figures again as "Receipt Totals & Variance" amounts are subject to change.

      Note
      titleProfit/Loss Report and Income & Expenses

      Incomes and expenses recorded when posting an operating day are not reflected in the profit/loss report.

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    2. Labor Hours - Enter total labor hours for each meal. Labor hours are totals of all personnel who worked to prepare and serve a meal.

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POS Batches - Click the Review button to open the Edit/Review POS Batches window and review batch information.
 

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    2.  Misc Counts - Enter Miscellaneous Counts. Miscellaneous Counts are established for full cost meals in which the cafeteria receives reimbursement (e.g. a detention center).

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    2.  POS Batches - Select a row and click the Review button to open the Edit/Review POS Batches window and review batch information.
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    3. Once you have completed entering all information, click Okto post the operating day. If you are not ready to post the operating day, click Save without Posting.

      Note
      titleSave without Posting

      If you choose to Save without Posting, you will need to confirm you have reviewed Daily Figures for each school as those changes will not save.

 

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After Posting
After Posting
After Posting Reports

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Note

Your District determines which reports are required for you to review/print. You may choose to run any additional available reports.

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  1. Locate and click on After Posting Reports from the ribbon or Print After-Posting Reports from the checklist.

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  1. Reports required by your District are checked off by default. After you have established After-Posting Report options, click Ok.
    1. Include Reports - You may choose to print additional reports by placing a checkmark in each report box. 
    2. Cafeteria - Use the drop-down menu to select a cafeteria if it differs from the default.
    3. Operating Date - Use the calendar icon to select a past operating date if necessary. By default, the current date is selected.

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  1. In the Print Preview window, select the appropriate action.

    1Search - Allows you to search the report(s) for specific text.
    2Open - Allows you to open an existing saved report.
    3Save - Allows you to save the report(s) to a local or network drive.
    4Print - Opens the Printwindow to select a printer and establish print options.
    5Quick Print - Automatically prints the report to the default printer.
    6Page Navigation Arrows - Allows you to quickly navigate pages or to the beginning or end of the report.
    7Export - Allows you to select a format type in which to export the report.
    8Close - Closes the Print Preview window.

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  1. Expand
    titleLine Details (After posting) - Review the Line Details (After Posting) report.

    The Line Details (After Posting) report shows the final meal type, batch number, serving line name, time the meal was served, customer the meal was sold to, customer's meal status, item/adjustment description, purchase type, meal/item cost, amount tendered by customer, total meals sold in a batch, batch meal cost total, batch amount tendered total, meal cost total, and meal amount tendered total.
     

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    titleMeal Summary (After Posting) - Review the Meal Summary (After Posting) report.

    The Meal Summary report breaks down the final meal counts by item (item description, count, item cost, cash tendered, prepaids used), item category (category description, count, item cost, cash tendered, prepaids used), adjustment summary (adjustment description, count, amount) and provides a summary of all meals.
     

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    titleInitial Summary (After Posting) - Review the Initial Summary (After Posting) report.

    The Initial Summary (After Posting) report provides final details of meals and breaks the compiled information down to show the line number/description, the number of each meal status types, at cost counts, a la carte counts, total meals served, total cash collected, and variance amount.
     

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    Expand
    titleAdjustment Details (After Posting) - Review the Adjustment Details (After Posting) report.

    The Adjustment Details report shows final transaction details affecting deposits (payments and refunds) and non-deposits (corrections and transfers). The transaction date and time, user completing the transaction, customer POS ID, customer name, amount, check number/check date (if applicable), and transaction totals are included in the report.
     

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    titleAmount Tendered (After Posting) - Review the Amount Tendered (After Posting) report.

    The Amount Tendered report displays final amounts paid for each meal. The POS ID, meal benefit category, customer name, check number/date (if applicable), and amount is displayed for each monetary transaction. Additionally, line totals, meal totals, and total amount collected are displayed. 
     

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    titleDaily Recap (After Posting) - Review the Daily Recap (After Posting) report.

    The Daily Recap report breaks down meal totals by status to include paid, charged, prepaid, meals earned and state reimbursed totals to include the typed of meals, cash collected, total meals served, miscellaneous sales, and sales of the day. Additionally, food cash and other cash incomes, deposits posted, deposits entered, variance amounts, net charges, deposits affecting receipts (if applicable), customers on file, miscellaneous figures (if applicable) and labor hours (if applicable) are included.
     

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    titleDouble Card Usage (After Posting) - Review the Double Card Usage (After Posting) report.

    The Double Card Usage report displays customers who had multiple sales during a meal, the serving lines in which transactions occurred, the line user, transaction date, type of purchase, and item description(s). If no double card usages occurred or issues have been cleared prior to posting the operating day, no information will be displayed in the report.
     

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    titleFunction Key Sales (After Posting) - Review the Function Key Sales (After Posting) report.

    The Function Key Sales report reflects any sales that occurred during the session through pressing one of the function keys (F1, F2, F3, etc.). If no function keyed sales occurred or issues have been cleared prior to posting the operating day, no information will be displayed in the report.
     

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    titleCash Drawer Report (After Posting) - Review the Cash Drawer Report (After Posting) report.

    The Cash Drawer Report shows a final summary of each starting cash, tender counts of cash and checks, miscellaneous cash, total amount tendered, and overages and shortages for each batch. Totals for all batches are displayed as well. 
     

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    titleReimbursable Meals Served (After Posting) - Review the Reimbursable Meals Served (After Posting) report.

    The Reimbursable Meals Served report breaks down any reimbursable meals served by the customer and include the student number, customer name, price category, and meal the customer received. Meals are totaled by price category and total amounts of reimbursable meals sold.
     

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    titleVoid and Edit Comments (After Posting) - Review the Void and Edit Comments (After Posting) report.

    The Void and Edit Comments report displays the batch number, serving line, user, student number, student name, type of change, and comments as to why a change has occurred when voids and edits have been made. 
     

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    titleBank Deposit - Review the Bank Deposit report.

    The Bank Deposit report reflects the amount of funds received for the operating day and assists in ensuring all totals are correct. The operating date, deposit slip #, manager's name, cafeteria, total cash, total checks, and total deposits are listed. Signature lines are included for best practice of confirming amounts.
     

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    titleFederal Edit Check - Review the Federal Edit Check report.

    The Federal Edit Check report shows daily counts from the beginning of the current month to the current date and includes meals served, enrollment, and attendance numbers.

    • A row will be flagged with one of the following codes if any of the following issues occurs:
    AExceeds applications on file
    BExceeds eligible times attendance factor
    DExceeds average daily attendance
    • If more than one issues occurs, the day will be flagged with an asterisk * and a message will appear above the Comments section.
    • A manager signature line is included for best practice of confirming amounts.
       

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    titleMultiple Transactions per Meal (After Posting) - Review the Multiple Transactions per Meal (After Posting) report.

    The Multiple Transactions per Meal report reflects any customers which have had multiple transactions during a meal after the operating day has been posted. The report displays the POS ID, customer name, meal, time the transaction occurred, the line number, cashier name, purchase/adjustment description, price of item/meal, and amount tendered.  If multiple transactions have no occurred or issues have been cleared prior to posting the operating day, no information will be displayed in the report.
     

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    titleAt-Cost Meals (After Posting) - Review the At-Cost Meal (After Posting) report.

    The At-Cost Meals report displays any meals which were sold at-cost. The serving line, transactions date, customer, item description and item cost are displayed and the total at-cost transactions.  If no at-cost occurred or issues have been cleared prior to posting the operating day, no information will be displayed in the report.
     

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    titleParticipation by Grade - Review the Participation by Grade report.

    The Participation by Grade report shows the number of meals sold to each grade, the cost of meals served, and the total cost of all meals served for the established date/date range.
     

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    titleItems Sold by Category - Review the Items Sold by Category report.

    The Items Sold by Category report shows totals of items and items categories of meals sold in meal status categories for the established date/date range.
     

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Cancel Abandon
Cancel/Abandon Day

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