Cash Drawers
Cash Drawers
Purpose and when to use this record
BriskMaintain storesthe named registers or tills used to assign and reconcile point-of-sale cash drawersactivity.
At parta glance
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Identify it by: Name.
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Why care: Customer, warehouse, quantities, prices, tax, payment, and fulfillment represent different parts of the
salestransaction.module.ReviewThiseachgeneratedbeforereferencetreating the sale as complete.
Before you begin
You need the Brisk permission for the action you are taking on cash drawers. If a Create, Edit, or Delete control is awaitingabsent, workflowdo review.not work around it with another user’s account; ask an administrator to review your role.
Create a recordcash drawer

TheCreate evidencea packetcash identifiesdrawer after searching for the viewperson, organization, item, location, or resource under alternate names and identifiers. Merge or correct an existing master record instead of creating a duplicate.
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Select the business context first.
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Enter the required identifying and operational values: Name.
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Review Description against the source
locationdocument or approved setup decision. -
Save the cash drawer, then confirm Name on its detail page before continuing.
After saving: Verify this cash drawer in Customer Credits, Payouts, Returns, and Sales, plus the remaining screen fields before staff build new activity on it; correct ownership, classification, and active state now rather than after transactions accumulate.
Delete a cash drawer
Delete this cash drawer only if it is an unused duplicate or setup mistake. Once other records refer to it, preserve that history and make the value inactive when the screen provides that option.
Before confirming, check for thisrelated action.Customer ConfirmCredits, user-facingPayouts, stepsReturns, beforeSales, approvingand Sheriff Bank Deposits, plus the remaining screen fields. Brisk may refuse deletion when another record depends on this page.one; resolve the duplicate or use the supported correction workflow instead of breaking the trail.
On the confirmation page, verify Name. After confirmation, return to the Cash Drawers list and make sure only the intended cash drawer was removed.
ViewReview recordcash drawer details
The evidence packet identifiesUse the viewdetail page as the shared record of what this cash drawer currently means. Verify Name, and sourceDescription locationbefore relying on it for thisa action.decision.
Compare user-facingthe stepscash drawer with its source document or approved setup request before approvingdeciding that it needs correction.
Next check: Verify this cash drawer in Customer Credits, Payouts, Returns, and Sales, plus the remaining screen fields before staff build new activity on it; correct ownership, classification, and active state now rather than after transactions accumulate.
Edit an existing cash drawer
Edit this cash drawer to keep the same real-world party, item, location, or resource accurate. Do not repurpose it for a different entity after activity is attached.
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Open the detail page. Compare Name with the supporting document or approved request.
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Recheck the identifying information shown on the screen. These values are most likely to change customer totals, tax, payment, fulfillment, and receivables.
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Save the change, return to the list, and confirm that the cash drawer now appears under the expected Name.
After the change: Verify this cash drawer in Customer Credits, Payouts, Returns, and Sales, plus the remaining screen fields before staff build new activity on it; correct ownership, classification, and active state now rather than after transactions accumulate.
Find and review recordscash drawers

The evidence packet identifiesUse the viewCash Drawers list to find the correct record before opening or changing it. Compare Name. Compare the full identifier rather than relying on a similar name.
- The initial order emphasizes Name. Select a column heading when you need a different comparison.
Open the cash drawer whose Name match the task. If it is missing, clear the list filters and sourcerecheck locationthe identifying information shown on the screen rather than creating a replacement immediately.
Fields and business rules
Brisk stores 2 user-relevant fields for this action.cash Confirmdrawer, user-facingincluding steps0 beforelinked-record approvingselections and 0 controlled-choice fields. Create and edit screens may hide calculated or workflow-managed values from this page.full reference.
Edit
| Field | Required | What |
|---|---|---|
| Name | Yes | Human-readable name for this |
| Description | No | Description of this cash drawer. |
What happens next
Verify this cash drawer in Customer Credits, Payouts, Returns, and Sales, plus the remaining screen fields before approvingstaff build new activity on it; correct ownership, classification, and active state now rather than after transactions accumulate.
Common mistakes and troubleshooting
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The record will not save: Recheck Name and any message beside the field. A required related record may also be inactive or unavailable to your role.
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The values look right but the result is wrong: Compare this
cashpage.Deletedrawera recordThe evidence packet identifieswith theview andsourcelocationdocumentfororthisapprovedaction.setupConfirmdecision,user-facingthenstepscheckbeforetheapprovingdownstreamthisscreenpage.where it is used.