H&L Training Document
Using Sysnet Revenue & Banking
About
Revenue & Banking is a balancing tool that helps you to reconcile daily takings by POS terminal and compare actual totals against system totals. It helps ensure that banking figures are accurate when integrating with an accounting package. Revenue & Banking also includes tools for managing till skims, floats, and petty cash.
Table of Contents | Page # |
Introduction | 3 |
Configuration | 3 |
Till Reads | 5 |
Till Skims - Configuration | 11 |
Till Skims - At the POS | 12 |
Till Skims - Back of House | 14 |
Petty Cash Deductions | 15 |
Using Petty Cash - At the POS | 15 |
Using Petty Cash - Back of House | 17 |
Float Management | 21 |
Float Templates | 21 |
Float Assignment | 25 |
Manage Floats | 26 |
Float Declaration | 27 |
Summary Report | 30 |
Reports Menu | 31 |
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