Generating the All Locations Post-Event Standsheet

The All Locations Post-Event Standsheet Report shows the game day account of inventory logistics that occurred during an event for all locations. The report also shows the combined totals of money posted to stands in Cash Deposits Entry.

  1. Click Post-Event, click Post-Event Reports, click Stand/Location Reports, and then click All Locations Post-Event Stand Sheet.
  2. Select the Event, select the Output destination, and then click Print.