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View Revisions: Issue #40490 | [ All Revisions ] [ Back to Issue ] | ||
Summary | 0040490: Till differences are deleted from cash management after clearing cache. | ||
Revision | 2019-03-29 09:42 by jorge-garcia | ||
Steps To Reproduce | [BO] VBS-1 Configure in Pos terminal type > payment method > Cash Management > G/L Item for Till Differences = > G/L Item Cash Differences [POS] Login into WEB POS user vallblanca Add differences doing the cash up Crate one ticket and pay it Create cash management and add cash deposit in order to have 2 lines into cash management table. Check in local database that you have 2 records in this table. Click on Done button in Cash Management window to synchronize the new transaction. Clear cache Link again the terminal Login again Cash up needs to be done and the cash management needs to be loaded from BO Go to chrome database > cashmanagement table and see that you don't have the till differences loaded in the terminal I noticed that if you have configured in Backoffice G/L Item for Till Differences as VBS Cash Differences the cash management is loaded. |
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Revision | 2019-03-29 09:42 by jorge-garcia | ||
Steps To Reproduce | [BO] VBS-1 Configure in Pos terminal type > payment method > Cash Management > G/L Item for Till Differences = > G/L Item Cash Differences [POS] Login into WEB POS user vallblanca Add differences doing the cash up Crate one ticket and pay it Create cash management and add cash deposit in order to have 2 lines into cash management table. Check in local database that you have 2 records in this table. Clear cache Link again the terminal Login again Cash up needs to be done and the cash management needs to be loaded from BO Go to chrome database > cashmanagement table and see that you don't have the till differences loaded in the terminal I noticed that if you have configured in Backoffice G/L Item for Till Differences as VBS Cash Differences the cash management is loaded. |
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