Using cash management
In the cash register settings, go to the “pos” section, then “Cash register management” to activate the “manage cash register” option.
![Comment utiliser la gestion de caisse](https://com.restomax.bewp-content/uploads/sites/5/2022/10/gestion-caisse-parametres.png)
What are the options?
Manage cash register: Activate cash register management for cash counting.
Amount : Fixed or Variable
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- Fixed: you define a fixed cash float, and the system will calculate the bank discount at closing to always arrive at the encoded amount, allowing you to open with the same cash float amount.
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- Variable: Does not fix the cash float amount. No obligation to deposit money in the bank at the end of the day, and allows you to have a different amount for each opening.
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- Email Report: Email address for sending count reports.
On the cash register opening.
On launch, if the till has not been opened by another user, the following window will appear:
![Comment utiliser la gestion de caisse avec Restomax?](https://com.restomax.bewp-content/uploads/sites/5/2022/10/gestion-caisse-ouverture.png)
You will then need to count your cash register, if necessary by breaking down the notes/coins.
Once the count is complete, click on “Open cash register”.
Movement during the day
At any time in the X report, you can see how the cash register has evolved:
![Utiliser la gestion de caisse pour les mouvements pendant la journée](https://com.restomax.bewp-content/uploads/sites/5/2022/10/gestion-caisse-mouvement-journee.png)
![Les entrées et sorties de caisses avec Restomax](https://com.restomax.bewp-content/uploads/sites/5/2022/10/gestion-caisse-entrees-sorties-caisses.png)
![Gestion des mouvements de la journée avec Restomax](https://com.restomax.bewp-content/uploads/sites/5/2022/10/gestion-caisse-entrees-sorties.png)
![La gestion de caisse Restomax](https://com.restomax.bewp-content/uploads/sites/5/2022/10/gestion-caisse-restomax.png)
On the cash register closing
![Clôture de caisse avec la gestion de caisse Restomax](https://com.restomax.bewp-content/uploads/sites/5/2022/10/gestion-caisse-cloture.png)
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- Opening balance: Amount on opening of cash register.
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- Theoretical balance: Balance that should be in the cash register based on actual cash receipts.
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- Variance: Difference between what the user counts and the theoretical balance.
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- Closing balance: Amount counted by the user at closing.
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- Bank deposit: Amount you have banked (in red, the amount you must deposit to reach the fixed amount if this mode has been selected).
To make a deposit, click on the “Deposit” button at the top.
![](https://com.restomax.bewp-content/uploads/sites/5/2022/10/gestion-caisse-remise-en-banque.png)
* If there is a cash difference, a comment is mandatory.
![Gestion de caisse, la différence de caisse](https://com.restomax.bewp-content/uploads/sites/5/2022/10/gestion-caisse-difference-de-caisse.png)
![Gestion de caisse, commentaire sur la différence de caisse](https://com.restomax.bewp-content/uploads/sites/5/2022/10/gestion-caisse-commentaire-difference-caisse.png)
* Please note that all theoretical balance information, etc., is only shown if the store option is activated:
![Gestion de caisse, la solde théorique](https://com.restomax.bewp-content/uploads/sites/5/2022/10/gestion-caisse-solde-theorique.png)
* To do this, go to Settings->Store and activate Cashmanagement.
![Le cashmanagement avec la gestion de caisse](https://com.restomax.bewp-content/uploads/sites/5/2022/10/gestion-caisse-cashmanagement.png)