Pre-requisite: your operator must be responsible for other operators.
Aim: predefine / manage your operators' cash float
Cick on NEW and define for which operator you are setting the cashfloat and an internal nam.
Set the date range according to your needs, if necessary.
Click on NEW to add lines and amounts and movements taken into account for your cash float.
You can adjust and define more movement lines if needed:
If set your operators will see this screen when accessing a sales screen: