In order to finish an operating day, Before Posting reports should be printed and necessary edits completed. The day should then be posted and After Posting reports should be printed in order to reflect any necessary changes. you may also choose to cancel/abandon an operating day.
Before Posting Reports |
Post Day |
After Posting Reports |
Cancel/Abandon Day |
From the Point-of-Sale tab, locate Finish Day in the ribbon.
Before Posting Reports
Before Posting reports allow you to review required reports prior to posting the operating day. Review of these reports will assist in catching and correcting any issues and lower the possibilities of reopening a past day in order to make corrections.
Your District determines which reports are required for you to review/print and at which point during the day those reports need to be completed as noted in the Checklist. You may choose to run any additional available reports.
Step 1: Locate and click on Before Posting Reports from the ribbon or Print Before-Posting Reports from the checklist.
Step 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.
In the Print Preview window, select the appropriate action.
1 | Search - Allows you to search the report(s) for specific text. |
2 | Open - Allows you to open an existing saved report. |
3 | Save - Allows you to save the report(s) to a local or network drive. |
4 | Print - Opens the Print window to select a printer and establish print options. |
5 | Quick Print - Automatically prints the report to the default printer. |
6 | Page Navigation Arrows - Allows you to quickly navigate pages or to the beginning or end of the report. |
7 | Export - Allows you to select a format type in which to export the report. |
8 | Close - Closes the Print Preview window. |
Post Day
An operating day should be posted after all transactions for an operating day have been completed. After-Posting Reports cannot be printed until an operating day has been posted.
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.
Step 1: Locate and click on Post Day from the ribbon or Post Operating Day from the checklist.
Step 2: Complete the Post Operating Day procedures.
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.
Bank Deposit - Complete Bank Deposit details.
- Cash Receipts - Enter cash amounts in the Bank Deposit tab.
- If no cash was received, click No cash was allocated today.
- Totals - Click the ellipses icon to open the Tally Checks window. The Total Cash amount is calculated by entering figures in the Cash Receipts area.
- Bank Deposit - Complete Bank Deposit details (if applicable).
- Bank Deposit - Complete Bank Deposit details (if applicable).
Daily Figures - 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.
If you post the operating day for more than one school, use the drop-down arrow to select the other school, review, and click the Reviewed box for the additional schools.
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.
Incomes and expenses recorded when posting an operating day are not reflected in the profit/loss report.
Labor Hours - Enter total labor hours for each meal. Labor hours are totals of all personnel who worked to prepare and serve a meal.
Misc Counts - Enter Miscellaneous Counts. Miscellaneous Counts are established for full cost meals in which the cafeteria receives reimbursement (e.g. a detention center).
POS Batches - Click the Review button to open the Edit/Review POS Batches window and review batch information.
After Posting Reports