How To: Entering a Cashout for Any Branch (02-10)
Overview
The following steps describe how to enter a cashout for any branch in your company using the All Stores Cashout Report selection.
Step-by-Step
- Click the Maintain button.
- You can use this feature at any time (before or after running a cashout inquiry).
- The End of Day Cashout (02-09) screen appears. In the ‘Store’ field, select a branch from the drop-down menu.
REMEMBER: Accessing the End of Day Cashout screen from this selection allows you to select any branch for the cashout. Entering a cashout directly from the End of Day Cashout screen allows you to enter a cashout only for the branch assigned to the terminal.
- Enter the rest of the cashout information as described in the End of Day Cashout documentation.
- Click Exit to return to All Stores Cashout.