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

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  1. Click the Maintain button.
    • You can use this feature at any time (before or after running a cashout inquiry).

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  1. 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.

  1. Enter the rest of the cashout information as described in the End of Day Cashout documentation.

  1. Click Exit to return to All Stores Cashout.