My Till
My Till shows the logged-in teller's own cash drawer - opening float, deposits in, withdrawals out, cheque receipts and the expected closing balance. Tellers open the till at start of day, transact through it, and reconcile and close it at end of day. Each record is on mfi.savings.till.

Workflow
- Open Savings > Teller > My Till.
- Open the till for the day and record the opening float.
- Transact normally; deposits and withdrawals update the till total.
- At close, count physical cash and enter the actual closing amount.
- Resolve any variance, then close the till for supervisor review.
Fields reference
Every field on this screen, drawn from the live data model.
| Field | Type | Required | Description |
|---|---|---|---|
Vaultvault_id | Link → mfi.savings.vault | — | Vault for the till's branch. |
Tellerteller_id | Link → res.users | Yes | Teller |
Statestate | Choice: Closed, Open, Suspended | Yes | State |
Has Messagehas_message | Yes/No | — | Has Message |
Till Refname | Text | — | Till Ref |
Branchbranch_id | Link → mfi.branch | — | Branch |
Currencycurrency_id | Link → res.currency | — | Currency |
Opening Balanceopening_balance | Money | — | Opening Balance |
Expected Cashexpected_cash | Money | — | Expected Cash |
Actual Cash (Counted)actual_cash | Money | — | Actual Cash (Counted) |
Variancevariance | Money | — | Variance |
Opened Atopening_date | Date & time | — | Opened At |
Closed Atclosing_date | Date & time | — | Closed At |
Notesnotes | Long text | — | Notes |
Cash Movementstill_transaction_ids | List | — | Cash Movements |
Denomination Breakdownsdenomination_ids | List | — | Denomination Breakdowns |
Total Cash Intotal_cash_in | Money | — | Total Cash In |
Total Cash Outtotal_cash_out | Money | — | Total Cash Out |
Txn Counttxn_count | Number | — | Txn Count |
Actions & buttons
Buttons available on this screen and what they do:
- Open Till
- Close Till
- Suspend (break)
- Resume
Status lifecycle
Records on this screen move through these statuses:
Closed → Open → Suspended
Notes & rules
- A per-teller cash drawer record on mfi.savings.till.
- Expected balance = opening float + receipts - disbursements.
- Closing requires a counted cash figure and surfaces any over/short variance.
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