We’re excited to announce that the latest information is now available on our new site, the Ginesys One Wiki!. Visit the site for up-to-date resources and insights. We look forward to continuing to support you there!
We’re excited to announce that the latest information is now available on our new site, the Ginesys One Wiki!. Visit the site for up-to-date resources and insights. We look forward to continuing to support you there!
How To: Manage Payment Drop
The cashiers at a cash-till may often need to remove excess cash from the till to prevent mishandling of cash. All such transactions are recorded in the system to make the reconciliation process at end of the session easy and smooth. The cashier does not have to recall each and every such transaction while presenting the closing cash to the manager. Payment Drop option has been introduced to facilitate this process.
Note: Only the transactions belonging to the current active session of the POS terminal is displayed. This restriction ensures that other cashier from different terminal cannot modify any transaction. If required, all the transactions of the day across all the terminals can be viewed using analytic report.
The process is managed in two areas of POS - Cash Till & POS Back Office
POS - Cash Till
Ginesys POS - POS - F5 (Tasks) - Payment Drop
POS Back Office
Ginesys POS - Back Office - POS Control - Payment Drop
Pre-requisite
- In Normal POS and POS as Collection Centre - The users' role must have access to the Payment Drop feature in POS - Admin - Roles - Security Roles (window) Access Rights (tab).
In Back Office - POS Control - The users' role must have access to the Add and Modify app operation in the Payment Drop feature in POS - Admin - Roles - Security Roles (window) Access Rights (tab)
Note: Records of this feature cannot be deleted. If required the entry can be modified or can create a Pay In entry to rectify any mistakes.