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Chapter 5 - Reports Reports Overview
FS-3700 Owner’s Manual 5-5
5.1.2 Report Balancing Notes
Menu Item Sales
• Sales of menu items update all reports as they are entered
on to checks. So, reports always represent real-time, up-to-
the-minute store activity.
• If there are any discrepancies in a check amount from when
the items are entered to when it is tendered, the difference is
noted on reports.
User Reports
• Amounts transferred from one server to another are posted
under “Other” in the Department and Category summaries.
• If a Category is set to not track totals on User Reports,
Category and Department totals for the Category’s items
sold are reported as “Other”.
Carried Over
• Amounts of checks left open during a Reset are included on
the next day’s reports and are labeled “Carried Over”.