In the unlikely event that this happens - this is what you need to do:
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Go to the Product section in the Back Office (Management > Menu > Product)
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Select the 'Tools' drop down from the right hand side
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Choose 'Excel Export'
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Add your option values (do not add them in the first row, but below the last entered row) in Columns AC to AL as follows:
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Once done, click save (ensure the spreadsheet is saved as an .xls)
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Go back to the Back office screen where you exported the menu, now click on the 'Tools' and select 'Import' from the dropdown
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Now go to the POS and synchronise the main terminal.