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CR Setup Overview

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All of the following must be set up before receipts can be entered into the Cash Receipts module.

  • All computers that will be used to enter receipts need to be set up as workstations.
    • Workstations are created and maintained using the Station Maintenance window (CR> Maintenance> Stations). You can only maintain the setup of the workstation you are logged into. If you need to set up multiple workstations, you will have to log into each of them.
  • Every Springbrook user that will enter receipts must be set up as an operator in the Cash Receipts module.
    • Operators are created and maintained using the Operator Maintenance window (CR> Maintenance> Operators).
  • Each operator must be set up on the workstations they will use to enter receipts. Operators will only be able to enter receipts on workstations they are set up on.
    • You can attach a workstation to an operator using the Operator Maintenance window (CR> Maintenance> Operator), or you can attach an operator to a workstation using the Station Maintenance window (CR> Maintenance> Station). It doesn’t matter which record you update (station or operator) because updating one will update the other.
  • Each workstation that will interface with a cash drawer or receipt printer must go through the Cirrus Agent installation.
    • The Cirrus Agent is a small application will run in the background when you are working in Cirrus CR and ensure a consistent connection between Cirrus and your peripheral hardware.
  • An additional level of security can be set up by checking the Require operator reauthentication toggle on the CR Setup window (CR> Utilities> Setup).
    • This will require that users log in a second time before accessing the Cash Entry window.
  • Create the slips you would like to generate when a payment is entered.
    • Slips are created and maintained using the Slip Maintenance window (CR> Maintenance> Slip).
  • Create a list of payment methods. When a receipt is created, the payment method (cash, check, credit card, etc.) is selected from a drop-down menu.
    • Payment methods are created and maintained in the Payment Method Maintenance window (CR> Maintenance> Payment Method).
  • Determine which slips should print when receipts are generated. Slips can be attached to payment types, type codes or set up as default slips which will print out for all receipts when the Automatically print receipt on save toggle is checked in the Operator Maintenance window (CR> Maintenance> Operator).
    • Slips are attached to payment methods in CR> Maintenance> Payment Method. Slips attached to a payment method will only print when that payment method is used on a receipt.
    • Slips are attached to type codes in CR> Maintenance> Type Code. Slips attached to a type code will only print when that type code is attached to a receipt.
    • Slips set up as default slips on the Slip Maintenance window in CR> Maintenance> Slip will print with each receipt generated by an operator when the Automatically print receipt on save toggle is checked on the Operator Maintenance window (CR> Maintenance> Operator).
  • Cash drawer and printer port options must be set up on the workstation.
    • Stations are created and maintained in CR> Maintenance> Station.
  • Set up the Cash Receipts module. The Setup window is used to set up receipt, interface, security, and detail information.
    • The Cash Receipts module is set up in CR> Utilities> Setup.
  • Optional setups include type codes, category codes and type codes that can be used to create UB module deposits.
    • Type codes are created in CR> Maintenance> Type Codes.
    • Category codes are groups of type codes and are created in CR> Maintenance> Category Codes.
  • After the module has been set up you should set security on the module to limit how receipts are generated.
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