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
- Open the three-dot menu.
- Select End of day.
- Register any cash added or transferred to the bank.
- Select Close cash register.
- Enter the counted cash amount.
- Review and reconcile any difference shown.
Indepth guide link: "End of Day Process "