11 - CLOSE OF BUSINESS
1 END OF DAY CONSOLIDATION
2 DAILY SALES REPORT
3 DAILY CASHIER JOURNAL
4 BACKUP/COPY INVENTORY
5 HOURLY SALES REPORT
6 SHUTDOWN INSTRUCTIONS
7 DAILY SALES & CASHIER REPORT
8 CONSOLIDATE, PRINT DAILY & CASHIER
LAST CONSOLIDATION: 4 FEB
LAST MANUAL BACKUP: 1 FEB
LAST AUTOMATIC BACKUP: 5 FEB