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Sales

The Sales screen provides a detailed breakdown of fuel dispensed per nozzle per day, supporting full reconciliation against totalizer readings.

Sales entries

Sales entries are generated automatically from nozzle totalizer readings (Evening − Morning) or can be entered manually where manual capture is permitted.

Field Description
Nozzle Pump and nozzle number
Product Fuel type
Opening reading Totalizer at start of day
Closing reading Totalizer at end of day
Volume sold (L) Closing − Opening
Pump price Price per litre at time of capture
Value Volume × Price

Manual entries

On sites where manual capture is permitted (a site-level setting), sales volumes can be entered directly without nozzle totalizer readings. Manual entries are flagged in reports.

Variance

The sales total is compared against the payment breakdown from the Evening Confirmation. A variance suggests a discrepancy in either the nozzle readings or the payment capture.