The system enables viewing and modifying the balance of the cashier at the opening of a business day and allows the same at the end of the business day. You can follow the cash movements by the amount of cash at the opening and closing of the business day. After closing the cashier, the system calculates the amount in the cashier by multiplying notes and coins by the denomination. From this window you can easily access many functions you might need for cashing up.
This feature is included in