Did you know "Dessert Stomach" is a real thing? Your gut expands upon contact with sugar which allows for more room for dessert even after you had that feeling of being full. With that being said, here's a full course meal of Clarifi Financials & Cash Release Notes for you to feast on!
As a store manager, you're able to edit the names of your Cash Drawers. With this Release, those re-named drawers will now appear in the Opening Cash Count card of the Reconciliation page.
Additionally, when you change the name of a drawer attached to any un-authorized transaction, the previous name for that drawer will appear.
Notice in the image below the previously-named drawer appears on the Pending Deposit Transfer, but when a new Transfer is created after the name-change, only the new name appears.
Closing Variable Counts
Previously, closing a Variable Count was limited just deposits. Now, you're able to count the balance of the drawer and view any variance separately from entering your deposit and viewing any variance for it. The Count Total on the right will display the sum of the two items and their collective variances.
New Reconciliation Element Operation
Previously, Reconciliation Elements were limited to Add and Subtract, but now a new "None" operation has been added to the list so you can add an item without having to choose either the Add or Subtract behavior.
Opening Count Deposit Fields
The Deposit fields have been removed from the Opening Cash Count card of the Reconciliation page since they only apply to closing a count.