Handling of US cash for Canadian transactions

curriekdcurriekd Member Posts: 3
Not sure how this is being handled but when you cash out of a sales transaction there does not look to be any handling of receiving different cash currencies (IE pricing in Canadian currency but they pay with US Cash) or on any reporting denoting that different cash currency was used for end of day balancing, etc.  How are folks handling this or is there something we are missing in the setup to handle?


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