Changes to minimise variations between old cash till and new so older cashtill records can be meaingfully viewed
- recording of banked funds slight different between old and new. Tweaked new so it will also pickup old
- new cashtill is sensitive to 'reconciled' txns. Flag prior till ops such as float and bank as reconciled since this is what new cash till does automatically
- Display till float manipulation for following day so it is more obvious what is happening when reviewing historical counts
- save till : make it obvious what has changed on save nag.
- force paidout to be what is posted on the GL, not what was recorded on old cashtill count
Other tweaks
- View spares invoice. Option to modify cust order number
- Factory Unit Purchase : option to receive goods only & process incoming invoice separately.