
Peachtree End of Day/Shift Guide
Step 3: Checking the Sales
Information
PEACHTREE INITIAL SETUP:
This guide was written for Platinum Version 9 of
AccuPOS Retail Management. If you are
running an earlier version of AccuPOS or not running Platinum, you will notice
differences in the look of the Retail Management program. Also, the Peachtree images and setup steps
were written with Peachtree Premium Accounting 2008. If you are running a different version of Peachtree,
there will also be slight differences in the look but the setup is not that
different.
At
the end of every shift (when the funds are taken out of the till), a Z-out
(reset) end of shift report must be performed. The Z report will reset the till
back to the predefined “Starting Cash” amount (which is set through AccuPOS
Management), and at the same time will update Peachtree with sales information
and tendering totals for that shift.
AccuPOS recommends running a Z-out report at the end of every shift (or
day, depending on the company setup), even if there had only been one
transaction. It is much easier to keep
sales information organized for one day rather than over multiple days. It’s also more organized for the accounting
end with Peachtree.
Step 1: Before you Z-Out: (top)
Before
you can reset the till, there are few things that need to be done in order to
ensure that the information gets to Peachtree safely on the initial reset.

Figure
1-1

Figure 1-2
*For more information on
setting the Adapter path, please refer to the Peachtree Initial Setup Guide.
**For more information on
making sure the network paths are set correctly, please refer to the AccuPOS
Network setup guide.
Step 2:
Performing the Z-Out: (top)
Now that all sales are
cleared for that till and the till is logged out, it can be reset. If you are running a version other than
Platinum or Elite, the till must be reset using AccuPOS Retail Management. If you have Platinum or Elite, you may reset
the till from AccuPOS Retail Management or the Point of Sale itself. To perform a reset using AccuPOS Retail
Management:

Figure 2-1

Figure 2-2

Figure 2-3

Figure 2-4
Once you click the Reset
button, a Z end of shift report will appear. This report contains sales
information for that particular sequence, including all tendering totals,
customer payments, and a breakdown of items sold and voids by type as well as
tax information. This report can then be
printed out to a printer of your choice.
This report is generated based on the default printer set up in
windows. Pressing Print will print the
report on the selected printer. While
this is happening, the Peachtree Adapter will update the Peachtree company file
by sending the sales information and updating the appropriate GL Accounts as
specified in the initial setup of the Peachtree integration. Once everything is imported successfully, the
Adapter will display Sales imported into
Peachtree (Figure 2-5).

Figure 2-5
To perform a reset using
AccuPOS Retail Point of Sale (Platinum and Elite only):

Figure 2-6

Figure 2-7
After hitting the Z Out button,
AccuPOS will automatically log the user out of the till and a reset report will
print through the receipt printer. This
report is similar to the one generated when resetting a till from AccuPOS
Retail Management but formatted to print through the receipt printer. While this is happening, the Peachtree
Adapter will update the Peachtree company file by sending the sales information
and updating the appropriate GL Accounts as specified in the initial setup of
the Peachtree integration. Once
everything is imported successfully, the Adapter will display Sales imported
into Peachtree (Figure 2-5 above).
Step 3: Checking the Sales Information: (top)
The sales update that was
imported into Peachtree contains sales information for that particular
shift/day and will post as follows:
The Z report for that shift
will be given a sequence number. Every time a till is reset, the sequence
number increases by one. This sequence
number can be used to view transaction by transaction reports through the Point
of Sale, as well as resending the sales information to Peachtree if, for
example, the adapter wasn’t opened while the Z report was performed. To resend a sequence that didn’t get imported
yet:

Figure 3-1

Figure 3-2

Figure 3-3
This will send the
information into Peachtree just like it would normally when a till is reset
(Step 2 above).
If the ending cash for the
shift is either over or short, AccuPOS will still report the total cash that should
have been collected. The Over/Short on the Z report does not transfer to Peachtree.
To adjust the cash amount before you deposit, create an Over/Short account in Peachtree
and manually transfer the over or short amount into this account by creating a Journal
Entry inside Peachtree.
At
the end of each day, it is necessary
to check the Tender Summary (GL account 95000 by default) account in Peachtree,
as it is used as an additional audit trail account. The account balance should
remain Zero ($0.00). Every day after
Peachtree is updated by AccuPOS, you should check the balance of this account.
If this account has a Zero balance that means that sales have posted correctly.
If this account is either positive or negative, there was a problem with the
update and you should contact the AccuPOS Retail Technical Support immediately.