The Cash tender settings control how cash payments are processed, printed, rounded, and adjusted in the POS. These settings can be configured at both the Store and Terminal level, allowing stores to define general cash behavior and, when needed, apply different settings to specific terminals.
Main Screen>MENU>SETTINGS>PAY>TENDER>CASH
From the Main Screen, select MENU and then SETTINGS.

Navigate to the PAY tab, open TENDER and select CASH.

STORE/TERMINAL: These settings determine whether the Cash tender is available and how the POS handles cash transactions.

USE: Enables or disables the Cash tender.

CASH DRAWER OPEN: Determines whether the cash drawer opens automatically when a cash payment is processed.

PRINT CUSTOMER COPY: Determines whether a customer copy is printed for cash transactions.
PRINT MERCHANT COPY: Determines whether a merchant/store copy is printed for cash transactions.

ROUNDING ADJUSTMENT: Determines the increment used to round cash transactions.
Available options:
This can be used when a store needs cash totals to be rounded to a specific increment.

TAX OVERRIDE: Determines whether the normal tax calculation is modified when Cash is selected.
Available options:

ADJUST TYPE: Allows an adjustment to be automatically applied to transactions paid with Cash.
Available options:

When an adjustment type is selected, configure the corresponding amount and select whether it is calculated as an AMOUNT or PERCENT.

ADJUST LABEL: Defines the text displayed for the cash adjustment on the transaction. Enter a custom label that clearly identifies the adjustment to the customer or employee.

ACCESS: Controls who can use the configured Cash adjustment.
Available options:

Once configured, click SAVE and RESTART PROGRAM to save the Cash tender configuration.
