hi
i need a bit of support from you.
i want to know how do you usually setup the money flow at the end of the day.
i will implement ls retail 4.1 in a retail chain and i will have as much as 15 pos-es per store, so the collecting of cash at the shifts's end, the counting process and the sending to bank should be very carefully planned and executed.
i'm more interested in the business, functional design of the process, rather than in a tehnical solution.
please ask anything you need to know.
thank you
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