After the end of a business day, you should accomplish a cash balance at each cash register. This is done directly in the POS app. We recommend the following procedure:
- Open the app menu and select Daily closing. Here you can see the previous cash balance, the total turnover and the deposits and withdrawals. This results in the debit balance. If you want to make a withdrawal, you can do this via the menu item Deposits and withdrawals. For more information see this article.
- Now count all the money in the cash register - separate recording of the individual note and coin values is not required by law - and enter the amount in the upper field.
- If there is a difference between the counted cash balance and the expected balance, you will see this in the last line and can recount the cash balance and correct it if necessary. Any difference will also be shown on the cash report.
- Click on Close cash book to complete the process and create the corresponding cash book report. All cash reports can then be found in the backend under Customers → Cashbook → Manifested.
Export cash reports
All cash register reports can be found in the backend under Customers → Cashbook → Manifested. You can select specific cash register reports for individual subshops, cash registers or specific time periods by using the filter settings. Click on Export selection or Export all at the bottom to export them as a .zip file.