DAY END SUMMARY

REPORT NO: 332
BRANCH: 1
DATE: 2026-08-25 08:45
Gross Sales 46,345.00
Discounts -0.00
Service Charge +3,055.00
NET SALES 46,345.00
Cash Sales 46,345.00
Non-Cash Sales 0.00
Starting Cash 10,000.00
Misc Cash In 0.00
Misc Cash Out -29,612.00
SYSTEM CASH 26,733.00
PHYSICAL CASH 27,310.00
EXCESS 577.00
Customer Visits 15
Printed By: Admin
--- End of Report ---
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