Pre-requisite: your operator must be responsible for other operators.
Aim: predefine / manage your operators' cash float
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Cick on NEW and define for which operator you are setting the cashfloat and an internal nam.
Set the date range according to your needs, if necessary.
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Click on NEW to add lines and amounts and movements taken into account for your cash float.
If set your operators will see this screen when accessing a sales screen:
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