Financial > Settings
- Understanding Your Cash Tray Report
- Shift Handoff: Pausing and Closing a Cash Tray at the POS
- Keeping the Records: How to Reprint a Cash Tray Report
- Teamwork at the Till: Assigning Employees to a Cash Tray
- Getting Started: Opening a Cash Tray at the POS
- Cash Trays: Understanding Cash Trays
- Understanding the End of Day (EOD) Process
- Setting Up the General Ledger in NX
- Creating or Editing Sales Categories
- Creating or Editing Revenue Centers
- Creating or Editing a Paid In