Adjust Cash Book

Managing money within the different cash boxes aside from the sales and credits processes are called disbursement and are managed using the POSibolt Cash Book Functionality. Adjust Cashbook if you need to take money out or put money in the cash drawer, you will need to adjust the amount in the cash book by stating the reason. To access the Adjust Cash Book Screen you will need to:

  1. Navigate to the main menu
  2. Click oo the Sales
  3. Click on the Adjust Cash Book 

How to enter cash receipts and disbursements. #

Whenever you need to enter any disbursement or put money in the drawer, 

  • Enter the amount
  • Choose the cash type whether it is a receipt or payment
  • Enter the description, Say whether it is a receipt or disbursement State a valid reason
  • Choose charge type from the dropdown and click on submit.

Remember that the charges showing in this screen all are created with charge type disbursement from the maintain charge screen.

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