Introduction
For locations using Cash Up as part of the Revenue Management module, the Cash Counts tool within the Operations Hub can be used to record cash counts and create a Cash Up record for subsequent review and approval in the Back Office.
Where end-of-shift cash counts are required to include the float balance, the tool can also be used to declare the opening float at the start of a shift. This ensures the expected cash value at the POS is adjusted accordingly throughout the trading period.
For more information on the Cash Up feature, see This Article.
Cash Up Articles
For information on Cash Counts via the Operations Hub, see: