Till Sessions / Banking
- How to Run the End of Day Report - VIDEO
- How to Declare a Session and Confirm Sessions as Banked - VIDEO
- How to Confirm Money Banked has been Reconciled - VIDEO
- How to Cash Up on a Till - VIDEO
- User Manual Safe Management
- Float Discrepancy Prompt Quick Reference Guide
- Cashing up in the back office
- Cashing up on the till
- End of day permissions Quick Reference Guide
- Chip & Pin Payment User Manual
- Point Of Sale User Manual
- Tax Free Shopping – Quick Reference Guide
- Enabling the PDQ Tender Type – Quick Reference Guide
- Activating & Deactivating Quick Reference Guide