💵Cash Management

This section covers the functionality of cash management.

The following guides give step-by-step instructions on opening and closing cash outs at the beginning of the day and the end of the day. You will be able to set default floats, breakdown your float denominations, and access rights to manage staff, reduce errors and control discrepancies.

pageOpening the TillpageClosing the Till

Last updated

© TAKU Canada Ltd.