Copyright of WAVELET.BIZ
For franchise and chain store, bank in slips of the cash deposited in the bank should be submitted to HQ for checking. In Wavelet EMP, all cash collected in the branches are recorded in different cash books. In order to reflect the cash balance correctly in the cash drawer at the branches, and also the bank balances, it is important for the users to transfer the money from the cash drawer into the bank cash book using FINANCE -> CASH TRANSFER.
Click on the hyperlinks to find out more information about the difference between basic cash transfer and cash transfer by transaction.