Configuring your daily closeout or Z-out products

Before you can conduct your daily closeout or Z-out you will need to configure which products you use.

  1. In the Data Entry main window click Manage and select Settings to bring up the Configure Settings window.
  2. Click the Payment & Billing tab.
  3. Under Z-Out, you’ll see two products: Over/Under Product and Petty Cash Product. Choose the product you wish to use for each one. By default the system uses Closeout Adjustment and Petty Cash Adjustment, respectively.
  4. Click Close to finish.
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