Balance Approval by Manager

(Manager Approval)

Access

Once the Balance a Cash Drawer process has been run, the manager must approve all cash drawers that are out of balance.  The Report Cash Balancing Exceptions lists out-of-balance cash drawers.  When you indicate the cash balancing reference number, the program displays either the cashier, drawer, or store (depending on the Group Payments by settings in the Cash Balancing Control Settings), as well as the start time, end time, over/short amount, and date. The manager thus has the opportunity to correct, balance, and choose whether to approve drawers that are out of balance, and to post payment transactions that a cashier may have missed.

 

 Any adjustments you make via this routine post with a transaction date equal to the transaction date associated with the other transactions in the cash drawer.

To use this routine, in Cash Balancing Control Settings, the Extended Cash Balancing setting in must be checked and/or Group Payments by, Number of Tries or Post to Suspense.

Important! This screen displays system-recorded totals as well as those entered during cash balancing. Therefore, we recommend you establish menu security to limit access to this routine.

Reference

Drawer/Cashier/Store

Date

Over/Short

Start Time, End Time

Payment Type

System Total

Posted Total