Cash Counts in the Store Summary Reports Are Not Calculated Correctly in ORPOS
(Doc ID 1543083.1)
Last updated on FEBRUARY 20, 2019
Applies to:Oracle Retail Point-of-Service - Version 13.4.1 to 13.4.6 [Release 13.4]
Information in this document applies to any platform.
In Oracle Retail Point of Service (ORPOS), the Cash Count in the Store Summary Report is incorrect.
Sample Steps to Reproduce:
1. Open the Store from POS.
2. Open Register A from POS.
3. Open Till A from POS with X Float amount.
4. Select Admin > Print the Store Summary report. Cash count is shown as below:
After opening the second till (B), Cash count is shown as 1.
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