Locations
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In the Locations Settings you will find:
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Cash Due EqualsYou have 4 options for Cash Due Equals (This controls the calculation of CASH RECONCILIATION on the Close Report)
*NOTE* As the settings of closeouts ultimately effect how much money should be in a merchant’s cash deposit each day, the CASH DUE setting will also change how your Daily Sales Recap calculates your NET CASH. | |
Exclude Open Cash from Cash Due on ReportsThis is an optional setting, that as a default, is checked.
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