* Go to 'Point of Sale' / 'Configuration' / 'Move Reason' .. figure:: ../static/description/pos_cash_move_tree.png :alt: PoS Move Reasons List * Create or update your PoS move Reasons. * for each reason, you can mention the concerned journal(s), (Generally the Cash Journal), and if it is a reason to 'put in' and / or to 'take out' Money. .. figure:: ../static/description/pos_cash_move_form.png :alt: PoS Move Reason **Note** You should have checked first 'Used in Point of Sale' for the Journals you want to enable the feature.