Documentation Index

Fetch the complete documentation index at: https://mysupport.roller.software/llms.txt

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Right report, right job

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This guide helps you choose the right ROLLER report for the job.

Whether you’re checking sales, balancing tills, or reviewing guest activity, use it to quickly find which report shows the data you need and how to access it.

Select any report link below to learn more, or go to Venue Manager > Reports > All reports to find and run it.

Check today’s sales, revenue and performance

When to use it: At the start or end of the day, see what sold, how much money came in, and where it came from.

Report

Use it for

Venue Manager dashboard

View a snapshot of total sales and payments received for the day.

Daily Summary

See daily sales by product, channel and payment method — useful for balancing daily takings.

Detailed Product Sales

View daily sales of individual items, modifiers and discounts to see which products are driving sales.

Package Product Sales

Review how bundled or combo products are performing across channels.

Detailed Transactions

See every transaction, including payment type, refund status, and amount received — ideal for reconciliation or investigating discrepancies.

ROLLER Payments Transactions

Confirm payments processed through ROLLER Payments, including method and settlement details.

Transactions by Channel

Compare revenue from online, in-venue and third-party channels.

Revenue Recognition

Review earned revenue (accrual basis) when services are delivered or tickets expire.

Reconcile physical cash and manage tills

When to use it: To close out daily operations and confirm that all payments balance.

Report

Use it for

Till Reconciliation

Balance tills and confirm total payments collected by staff.

Till Discrepancy by Staff Export

Identify any overages or shortages during cash-up.

Refund by Staff Export

Track who processed refunds and for which transactions.

Detailed Transactions — filter for Transaction Type = Refund

Review all refund details, including payment method and date.

ROLLER Payments reports overview

Review payment processing activity, refunds and chargeback information.

Staff Gratuity

Track staff tips and gratuities received.

Monitor guest visits and membership redemptions

When to use it: To track attendance, guest activity and membership usage.

Report

Use it for

Attendance

Track how many guests attended based on ticket redemptions at POS.

Attendance by Ticket Redemption

Break down attendance by ticket type redeemed.

Daily Summary

Review total guests, funds received and revenue (accrual only) for the day.

Booking Zip Code Export

Analyse guest origins and regional performance.

Recurring Payment Log

Monitor recurring membership billing activity and payment status.

Membership reports

Track member redemptions, expiries and remaining balances.

Track discounts and gift cards

When to use it: To see which discounts were applied and track gift card sales and usage.

Report

Use it for

Detailed Product Sales

Review discounts applied by item and channel.

Package Product Sales

Monitor discounted bundled product performance.

Revenue Recognition

Understand how discounts influence recognized revenue under accrual accounting.

Detailed Transactions

Track when and where gift cards were purchased.

Gift Card Sales

View total gift card sales and balances.

Detailed Gift Card Sales

See detailed sales history and remaining gift card balances.

Gift card grid

View total gift card sales and remaining balance by card or guest.

Review payments, payouts and chargebacks

When to use it: To reconcile processed payments, refunds and settlements.

Report

Use it for

ROLLER Payments reporting

Review payment processor transactions, fees and payout history.

Payments lifecycle

Understand the transaction journey from sale to bank payout.

View recognized revenue and tax reports

When to use it: For finance or accounting tasks that require accrual-based revenue or tax information.

Report

Use it for

Revenue Recognition

Track revenue from funds received through to deferred and earned revenue.

Ledger Summary

Summarize total revenue, tax and account balances.

Detailed Product Sales

Analyze product-level revenue and recognition dates.

Trial Balance

Verify total income, liabilities and account balances for accounting.

Sales Tax (accrual)

View tax payable on earned revenue by tax rate.

Sales Tax (cash)

View tax collected on funds received by tax rate.

Product Revenue by Reporting Category Export

Group and compare products by reporting category.

Sales by Category Export

View reporting category-level sales performance.

Bookings Receivable

Track unpaid or partially paid bookings to manage accounts receivable.

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