Some of us went in early Sunday morning and ran Audit Reports from about 8-10 random nights. Our conclusion? We need outside help. Sadly, we do not understand enough about the basic operations of the business.
However, even with our ignorance, there are transactions on the Audit Reports that bear further investigation.
There are a couple DELETE CHECKOUT, but we did not see those followed by REOPEN CHECK, & VOIDED ITEMS (see posrescue post up thread).
A potential red flag is the number & types of VOIDED ITEMS. Why are there so many voids and why are the voids predominantly wine and liquor? An epidemic of server & bartender mis-rings? A mis-understanding or negligence when it comes to categorizing voids versus comps? An effort by the managers to keep comps low? Or, are these voids a sign that servers or bartenders or managers have found a way to get extra cash?
One server in particular has a one big void on almost every Audit Report, before CHECKOUT. It's usually a mix of alcohol and entrees, and runs about $20-45 worth of voids from one table. This looks like server theft to us.
We were wondering if the managers are using magnetic swipe cards, or punching in with numbers. On the Audit Report, it is showing a manager is doing the void for this server. But, is it really the manager, or is the server borrowing the manager's card or using their number? Is it collusion? Why aren't the managers themselves looking for this kind of suspicious activity?
There also seems to be a lot of TRANSFER TABLE and ACCEPT TABLE, which we don't understand.
On the voids, the Report will say (names changed) Mgr 5689 John Emp 9078 Mary voided $ 35 from Table 14 Check: 10037
Got it. Manager John voiding something off of Mary's check on Table 14. (Or Mary using John's card or number).
For example, a series of transfers, the Report will say:
TRANSFER TABLE Table 30 from 9078 Mary to 5689 John (<---Mary is a server, John is a manager)
ACCEPT TABLE Table 30 from 9078 Mary to 5689 John as Table 30
TRANSFER TABLE Table 30 from 5689 John to 9078 Mary
ACCEPT TABLE Table 30 from 5689 John to 9078 Mary as Table 30
This is all in the space of a minute. There are several series of transfers just like this, different servers, different managers, on the Audit Reports. We don't know what these are, and we plan to reach out to our Aloha Rep for help.
We also feel we cannot adequately evaluate the situation at the bar without additional outside help. We already see that a high percentage of the voids are alcohol. But, we don't even know who reconciles the bar drawer at the end of the night. That seems like an important piece of information.
The business usually runs with 2-3 bartenders and one terminal/drawer at the bar. We see on the Audit Report more suspicious voiding, but it's not clear to us what we're seeing.
For example, this series:
REOPEN CHECK Bar5 for 401 Bartender by 605 Tom (Tom is a manager)
REOPEN CHECK Fast Close for 401 Bartender by 605 Tom
VOIDED ITEMS Mgr 605 Tom Emp 401 Bartender voided $24 from Fast Chk: 40016 (lists drinks below)
And, another series, near closing:
REOPEN CHECK Cbr4 for 401 Bartender by 605 Tom
REOPEN CHECK Bar78 for 401 Bartender by 605 Tom
ACCEPT TABLE Cbr4 from 605 Tom to 401 Bartender as Cbr4
VOIDED ITEMS Mgr 605 Tom Emp 401 Bartender voided $17.50 from Cbr4 Check: 40069 (lists drinks below)
VOIDED ITEMS Mgr 605 Tom Emp 401 Bartender voided $23.50 from Bar5 Chk: 40003 (lists drinks below)
We are not sure who Emp 401 Bartender is, or how that works. We see on other Audit Reports where the bartenders are listed by name.
The current plan is to look into a restaurant consultant group to handle the investigation for us, clean house as needed, and install a system of controls. We need to think big picture here and protect our [substantial] investment.
You are so right, TobeThor, when you said, The Mgr's job is to protect the business, the employees that rely on their weekly income and your investment. They failed miserably at each.