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The Petrol Forecourt Solution
From the reconciliation of a shift the system will:
- Show wet stock movements
- Show monies taken against transactions
- Show monies paid into and out of the till
- Show variances between reported and actual takings
- Update the tank stocks within the system
- Update pump tote readings within the system
- Store the sales information relating to both dry and wet stock, allowing reports for selected periods to be produced when required
Other functions are:
- Analysis by hose or by grade
- Electronic and manual reading of totes, tank gauges and POS
- Shift reports including variances and shop sales in relation to fuel sales
- EFT transactions—electronic and manual including fuel cards
- Local accounts including invoicing
- Sales reporting: departments, accounts and methods of payment
- Banking reconciliation
- Fuel ordering
- Full links to HTEC Fuel PoS
- Full links to Point Four dry stock system
- Full links to Sage Accounts
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