AuthorWrite something about yourself. No need to be fancy, just an overview. ArchivesCategories |
Back to Blog
Cash management system safebox12/31/2022 ![]() For denomination counts, the cashier counts and enters each denomination separately and each count is saved into the system.Īt the end of the cashier's shift, the cashier must count and return the assigned till to the cash management office for reconciliation. The system can be configured to allow the cashier to enter a total amount counted, or to count by denomination. The cashier must count the assigned till and then attach the till to a cash drawer/register before ringing transactions. The assigned till can be attached to any register the cashier may work on during the day. Till Accountability: A till is assigned to a specific cashier. If a float amount (a configurable value) has been left in the till, the system calculates the difference between the float amount and the actual opening amount entered, and if there is a difference, allows the cashier to recount the till or accept the new amount. This process assigns the drawer to the current register.Īlternatively, the till can be assigned to networked cash drawers.ĭepending upon your store policy, the cashier enters the total amount of cash in the till, or enters the quantity of each cash denomination. The associate is then required to count the drawer. The first associate who signs on to the register is responsible for opening the till. Register Accountability: A till is assigned to a register and can be used by any cashier that uses the register. Register Accountability is the default system mode and is used unless the system is configured to use Till Accountability. ![]() There are two types of till management: Register Accountability and Till Accountability. ![]()
0 Comments
Read More
Leave a Reply. |