Journal (POS Account)
Overview of tasks that users can complete on the Journal tool.
View Transactions for a Food Service Account
This article provides procedures for viewing transactions on the Journal tab.
Add a New Transaction to a Food Service Account
Procedures for adding a new purchase transaction in the food service account journal.
Adjust the Balance of a Food Service Account
Procedures for updating the balance on a patron's account.
Void Food Service Transactions
This article provides the process for voiding erroneous transactions that have posted to the Journal.
Transfer Funds Between Accounts
Procedures for transferring funds between two POS accounts to correct patron processing errors and/or to manually redistribute household funds.
Account Journal - Video
The Food Service Account Journal can be used to add, adjust, void, or view transactions to a patron's account; and to transfer funds between accounts. This video shows how to manage a patron's account.