Panel:SU0102Ä Create Daily Summaryë 0Todays Date 11/14/1992 Summary Date: 11/13/92Æ ╔ú═╗½ 4║ The store manager may edit and ║ Incoming Cash£ %║ correct any of the shifts that ║½ <║ make up the summary and re-run ║ Beginning of Day Cashï )1,800.00 ║ `Create Daily Summary' untilä ║ Total Fuel SalesÉ 6,779.00 ║ it is satisfactory.ì ║ Total Non Fuel Salesî
2,267.72 ╚ú═╝ Sales Tax CollectedÅ 127.48¿ To Account Foró 10,974.20τ Customer TransactionsÄ 66.39¿ Cash in Drawer(s)æ 870.00¿ Total Paid Outsô 283.99¿ Total Bank Depositsì 7,500.00¿ Total Credit CardsÄ 2,253.73¿ Cash Accounted For₧ 10,974.11τ Cash Over(+)/Short(-)í .09- ê IF3 = Exit, F24 = Finalize and process all shift reports for this summary.╢ (c) Copr 1992 ScotSystems Inc.╤ Ľ