Cash Counts in the Store Summary Reports Are Not Calculated Correctly in ORPOS

(Doc ID 1543083.1)

Last updated on AUGUST 17, 2016

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 132 from POS.
  3. Open Till 132 from POS with 30.00 Float amount.
  4. Select Admin > Print the Store Summary report. Cash count is shown as below:

After opening the second till (134), Cash count is shown as 1.  It should still remain 0, or if we are counting float for each till, the count should be 2.


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