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Introduction to in-store

In this section you'll find know-how and concept explanations when it comes to some of your in-store finance impacting activities.

So, things like opening and closing financial periods walk-through, income and expense reporting and setup, as well as setting up cash correction reasons for coinciding scenarios.

Here is a walk-through of a financial period flow from a store employee perspective:

As seen above, configuring income and expenses, and cash correction reasons is quite useful. This can be configured based on your own needs. For in-depth expalantion and configuration, go to: