End of Day Procedures

Manually Close Bank Batch
After completing transactions with integrated credit and debit card tenders, users can manually close the Bank Batch at any point in the day: Upon logging...
Fri, 31 Aug, 2018 at 3:43 PM
Cash Balance – Physical Count
There are 2 steps to cash balancing – this article describes the process of how to conduct a physical count of money in your till.  You will then run the Te...
Fri, 31 Aug, 2018 at 3:45 PM
Cash Balance - Tender Transaction Report
There are 2 steps to cash balancing – this article describes how to run the Tender Transaction report so that it can be compared to the results of your phys...
Fri, 31 Aug, 2018 at 3:46 PM