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GWPL POS
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Introduction
Introducing POS Restaurant Software
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Backup
Restore
Duplicate Bill Printing
Options
Change Address
Change Password
User Master
Email/SMS Setting
Activity Report
Day End Process
Data Export
Master
Shift Master
Store Master
Create Section
Material Category
Material Master
Unit
Waiter Master
Steward Master
Table Master
Supplier Master
Recipe Category
Recipe Menu Master
Kitchen Instruction
Currency Manage Master
Additional Pay Mode
Transaction
Restaurant Dash Board
Assign Steward/Waiter to Table
POS(Point of Sale)
KOT Creation
KOT for Keyboard
KOT for Token System
KOT for Direct Billing
Billing(F2)
Bill Settlement (F3)
Split Table
Transfer table/Merge table
Void Bill/KOT
Reservation
Outstanding Bill Settlement
Goods Inward
Stock Transfer
Consumption Entry
Transaction Report
Formation II Reports (POS)
Collection Report Summary
Payment Modewise Bill
Billwise Brief Report
Billwise Item Report
Itemwise Sales Report
Cashierwise Report
KOT To Table Report
KOT Detailed Report
Table Wise Sales
Tax Report
Cancelled KOT Report
Cancelled Bill Report
Daily Collection Register Billwise (Ctrl+B)
Itemwise Detailed Statement
Detailed Bill Wise Report
Summary Bill Wise Report (Ctrl+S)
Cashier Wise Report
Detailed Steward Wise Report
Detailed Waiter Wise Report
Tax Collection Statement (Ctrl+X)
Stock Report (F11)
Stock Issue Report
Recipe Issue Report
Purchase Report
Supplier Wise Purchase Report
Reorder Report
Sales Report
Currency Wise Statement
Accounts
Ledger Creation
Cash Receipt
Cash Payment
Journal Entry
Voucher Entry
Accounting Report
Settings
Day Book
Trial Balance
Profit And Loss Account
Balance Sheet
Account Statement
Debtors Accounts Outstanding
Creditors Accounts Outstanding
Other Account Balances
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