Add Paid IN Reasons or allow Negative Payouts
Not plannedToast only has two methods to Add Cash to the cash reconciliation. 1) Cash In or 2) a Negative Deposit. Customers frequently need other Pay In options to record such things as Cash Tips Collected (Tip Jar), Safe Balance Adjustments, Cash Pay In to Cover Tip Outs, etc. and they need them to be categorized just like Payout Reasons so that they can be booked to separate accounts in their Accounting System.
Personally, I think the easiest is to simply allow Negative Payouts and rename Payout Reasons to Payout/in Reasons...or something like that.
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Thanks, Kris! I'll pass this along to our product team, that's a valid suggestion. We'll be sure to let you know if there are changes in this area in the future.
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