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- An automatic cashout occurs at the end-of-day (EOD) for pending cash-outs for manager or users that don't use the time clock.
- Setting: System daily close time is set under Sites > Store Hours tab.
- An automatic cashout also occurs at the end of the pay period for all pending cash-outs for time clock users. If, for instance, the restaurant's pay period time occurs after the end-of-day, all pending cash-outs for time clock users are also automatically cashed out. Start
- Setting: Start of Pay Period Date/Time is set under Sites > Store Hours tab.
All open checks must be closed and unassigned from all locations for a user to cash out.
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To configure sales to be reset with each cash-out:
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Note: If this is not checked, the printed cash-out will reflect the total sales of the user for the entire day.
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