Aimed at users new to the Spark Cash Management functions
Tills and terminals
Reviewing till configurations and the functions available from a master or linked terminal and no till terminals, till roll and float checking and re-setting.
Sale of goods
Selling to borrowers and non-borrowers, sales and payment types, and the payment of goods.
Enquiries & exceptions
Finding receipts from several paths, reviewing till transactions, the handling of refunds and borrower credit.
Cashing up & banking
The concept of sessions and how these are cashed up, then banked.
Subscription points
This training bundle is part of our staff development subscription service. For more information on training subscriptions, view the subscriptions page.