Articles
How to perform the post end of day procedure
End Of Day Procedure: The POST end of day (peod) procedure is a way of checking that all sales...
How to adjust balances at the end of the day
Click on the sale menu, post end of day, then Summary. The summary shows the payment types and...
How to tally the cash drawer and use Cash Drawer Floats
On the post end of day screen select tally cash drawer. If this is the first time you have used...
How to make payments from the cash drawer
When you make payments from the cash drawer during the day such as courier expenses or office...