When selecting the option Cash → Cash Entries, the system will display a screen composed of different sections that allow registering a new entry cash
Cashier: Indicate from which Terminal the operation is being performed. Each terminal has a cash register number.
Archaeology Z: Displays the cash count to which the cash entry will be assigned.
Date and time: They indicate the time when the operation was registered.

Date/Time: Allows modifying the date and time of the cash entry.
Note: Although the transaction can be viewed according to the date entered by the employee, the entry will be accounted for in the current cash reconciliation..
Box: Define the box of origin and destination of the movement.
For example:
Central → Terminal, when cash is handed over to a sales till.
External Case → Central, when money is returned to the main till.
Payment method: Select the type of payment method, Cash, with which the cash entry will be made.
Currency: Upon clicking this field, a pop-up window will open (Pop-Up) with the available currencies. The currency corresponding to the operation will be selected.
Amount: The amount of cash being deposited into the till must be entered.
Delivered:The amount paid will be indicated.
Change: If the amount Edelivered does not match with the value entered in the field Amount, the system will automatically show the difference.
Description: Optional field to add an observation or concept that identifies the reason for the entry (for example: Cash fund replenishment).

There is a numeric keypad which facilitates the input of values into the fields Amount and Delivered.

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