Daily Activities

Unloading the Cash Box

 

1.  Open the bill acceptor door, insert the key into the lock, turn to the right, and gently pull the door forward. This reveals the Cash Box.

2. To remove the Cash Box, simply push up on the blue release button at the rear with one hand, slide the cash box to the rear of the terminal and gently lift it up and out.

3. Remove money from the Cash Box, locate the round opening on the front, press down to retract and slide the money out.

 

Balancing the Cash Box 

The Shift Report details sales activity and should be used to balance the bills in the cash box on a daily basis. It shows all sales as a total amount by Instants & Draw Games and the total of both.
 
The cash collected is the total money inserted into the bill acceptor. The total cash collected is the calculated cash balance of that periods sales.
 
To balance the bills in the cash box, reduce the Draw Games and Instant Totals by the Prize reinvested (validation) amounts and the manual credits on the shift report.

  

Printing / Clearing Shift Report

Touch Reports from the main menu.

  1. Select Local Reports.
  2. Select Shift Report.
  3. Touch Clear Shift.
  4. Select Yes at onscreen prompt.
  5. Retrieve shift report from printer.

 

Loading / Unloading / Changing the Printer Paper

  1. Open the Main Door of the terminal with the key labeled MD and locate the printer in the lower storage area.
  2. Slide the printer shelf forward.
  3. Open the printer cover and pull any remaining paper out through the rear of the printer. Close the printer cover.
  4. Place the paper roll into the printer bucket.
  5. Feed the paper into the rear of the printer so the paper is feeding from the TOP of the roll.
  6. The printer will auto-feed the paper through the printer and cut automatically.
  7. Gently push the printer drawer back into the terminal.