In EPOS Manager, the Accounts Analysis option defines which stock account each PLU will report to. This setup can be configured to split reporting across two accounts if needed.
Follow the steps below to manage this configuration effectively:
Navigate to the Accounts tab within the PLU setup section.
Assign the appropriate stock account for each PLU.
If required, configure the PLU to report to two accounts for split analysis.
Save the changes to apply the updated account mapping.
π Note: The way PLUs are configured under the Accounts tab directly affects how figures appear in the Accounting Summary during the End of Day report.
These figures may differ from other PLU sales reports due to the specific account setup.
