Managing Cash Drawers also see 'Managing Daily Receipts'.
At the beginning of the shift...
- Functions -> POS -> Cash Drawers
- View Cash Drawers
- At the start of day, click START processing, enter the amount of cash in the drawer
- With each transaction, at the final checkout screen, step 2, you'll need to choose the drawer being used... then process as normal.
At End of shift...
- Functions -> POS -> Cash Drawers
- View Cash Drawers
- Click Stop Processing
- Enter the current values of each in the drawer into the Receipts column of open fields
- Click Recalculate, Print Page using Browser settings if necessary
- Click Complete Close out.
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