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Retail View POS

Cash Handover & Day End

Shift settlement, cash handover and a day-end that actually closes.

The cash handover utility reconciles what the system says the counter took against what is physically in the drawer, per shift and per user. Day-end settlement then closes the trading day, so the next morning starts from a known position rather than a guess.

What it includes

  • Per-user, per-shift cash reconciliation
  • Expected versus counted variance
  • Formal handover between shifts
  • Day-end settlement and year-end processing
  • Sales register / daybook for the full day's transactions

What it changes

  • Cash differences are caught the same day, not the next month
  • Accountability sits with the shift that created the variance
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