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  1. The user is able to open the module MXTS Front Office Manager/Cash Clearance

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  1. The user is able to create a new cash clearance

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  1. The

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  1. user is able to count the coins and notes which are in the cash register drawer

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  1. The user is able to enter the amounts for different (credit)cards which are processed via the terminal

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6. The user is able to enter which amount should be in the cash drawer after cash clearance process

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  1. The software automatically calculates if the total cash drawer amount matches the registered transactions for the cash account(s) closed

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  1. If there is a cash clearance difference, the user is able to provide a reason for this

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  1. User is able to check the transaction from the cash clearance when there is a cash difference
  2. After that the user is able to save the cash clearance, the transaction report will now be generated automatically

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  1. The details can be observed afterwards, a number is generated for the cash clearance and the transaction report

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  1. Transaction reports can be checked in the Finance manager
  2. Journal reports can be created/scheduled in the Finance manager
  3. Users who still want to print the cash clearance report now and then can do this using the browser print option

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