Point of Sale offers the ability to create cash drawers and shift reporting, record counts mid-shift and assign cash drawers to specific devices.
Open a Cash Drawer and Assign Cash Drawer to the Current Device
Count the starting cash for the day and assign the drawer associated with the device.
- Click the Menu Icon (≡) and then click Check Out List
- Click the Cash Counting button
- Select a Drawer and Shift
- Click Generate
- Enter the quantity of bills or coins into each field.
- The amount will appear in the bottom right corner.
- Click Open Drawer
- The Cash Drawer and Shift will be assigned to the device you are currently on.
Record a Cash Drawer
Count the cash drawer mid day or without assigning the drawer at opening.
- Click the Menu Icon (≡) and then click Check Out List
- Click the Cash Counting button
- Select a Drawer and Shift.
- Click Generate.
- Enter the quantity of bills or coins into each field.
- Click RECORD.
- The values will save but the drawer will not be permanently opened or closed.
Close a Cash Drawer
Count the closing cash for the day.
- Click the Menu Icon (≡) and then click Check Out List
- Click the Cash Counting button
- Select a Drawer and Shift.
- Click Generate.
- Enter the quantity of bills or coins into each field.
- The amount will appear in the bottom right corner.
- Click CLOSE DRAWER.

Reassign a Cash Drawer
The assigned cash drawer will reset if the browser cache is cleared, sometimes triggered by restarting your computer or closing a browser.
To assign a Cash Drawer after it has been opened:
- Setup > Ticket Preferences > POS Devices
- Select the correct Cash Drawer & Shift
- Click SAVE.
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