README
Exports
Reconciliation publishes events to PubSub. Other Hii Retail services, or external system using External Events, can subscribe to these messages.
Reconciliation completed
When a reconciliation is completed, either with or without deviations, the reconciliation is published.
See here for more info.
Reconciliation recount
Even though a reconciliation is completed by the cashier, it could still be recounted by the manager (or those having the permissions).
See here for more info.
Reconciliation rejected
If a reconciliation has a deviation exceeding allowed threshold, the reconciliation is rejected. This data is only needed for statistics/reporting.
See here for more info.
End of day
Submitting all reconciliations at the end of the day, generate an export of the event with a list of the included reconciliations and accumulated values for all tenders the end of day event applies to.
Cash Balances
After end of day, the expected cash amounts remaining in each business unit's cash drawers and changers are published. These amounts reflect what is expected to remain in the drawers and changers at the end of the business day.