* Store managers/owners have no visibility over the cash state of their registers. * No accountability over petty cash transactions. * No visibility in the accounting of the cash state of a register/store. When Cash Management is enabled, in order to open a register you must count and enter a float amount. Adding a float (deposit) to the till should be accounted for. Cash transactions and petty cash credit or debit this amount. On closing, a cash count must match the shift's sum of cash transactions. Vend have a robust implementation (
https://support.vendhq.com/hc/en-us/articles/207884598-Cash-Management-in-Vend ) of this feature. Floats and discrepancies would need to be reconciled into accounting integrations.