If you wish to have a cash float count at your establishment, you’ll need to create and then configure a cash float from the Back Office. Then, you can define which user groups are allowed to use or manage a cash balance on the POS (K) app.
To add a cash float from the Back Office:
- From the main navigation menu, go to Configuration > Devices > Float management.
- Select Create new cash float.
- Give your cash float a name, such as “Day float.”
- Select OK to confirm.
- Once saved, your new cash float appears on the Float management page.
What's next?
Now that you've added a cash float to the Back Office, you'll need to customize its settings and user groups. For more information, see Configuring cash floats.