While it is needed for auditing purposes to see where income came from (i.e. via a till or a kiosk) having different summaries in POS is causing confusion with staff as they are reporting income as 'missing' when in fact it is simply via a different cash register at their site. We would like to see a version of the summary in POS that should the cash register as a column in the summary (as opposed to different summaries for each cash register) so staff can see all takings for a given period for their site. For example, one of our libraries have four kiosks and three tills. These means they have look at seven different summaries to find all of the transactions each day. This is a lot of manual work for staff to do. Having one summary per site would solve this problem.