XStore End Of Day POSLog/RTLog
Hi all,
on previous versions of POS (ORPOS) the POSLog and RTLog (both generated by RPOS) of the store close operation contained the total number of transactions and total amounts. I believe these are the totals that ReSA uses to reconcile. These totals are 360 specific.
Trimmed Sample:
<c360:SessionSettle>
<TransactionCount>86</TransactionCount>
<TotalNetSalesAmount>2763,43</TotalNetSalesAmount>
Actually in V15 the POSLog flow from XStore to XOffice and consequentially to RTLog Generator. So the POSLog exported by XStore are used to generate the RTLog consumed by ReSA.
How does ReSA knows that all transactions (RTLogs) were received during the current day operation (or any other system that needs to receive the transaction and do any kind of reconcile) if