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How do I complete the End of Day process?

You want to review the day’s totals, count the cash and close the cash register correctly.

Answer

  1. Open the three-dot menu.
  2. Select End of day.
  3. Register any cash added or transferred to the bank.
  4. Select Close cash register.
  5. Enter the counted cash amount.
  6. Review and reconcile any difference shown.

Indepth guide link: "End of Day Process "