Daily Till Reports

Till close made easy

Every shift ends with a clean report. Method breakdowns (cash, terminals, online, vouchers) and final cash are ready for accounts.

What it does

  • Start cash, payments by method, cash expenses
  • Tips/service charge, payouts & deposits
  • End cash and variance with audit trail

Benefits

  • Faster, cleaner close
  • Fewer cash errors
  • Finance-friendly exports

FAQs

Multiple tills/outlets?
Yes - per outlet with consolidated view.
Exports?
CSV/PDF for finance.

What it actually does

Open with start cash → take payments → close and reconcile. Reconcile cash, terminals, vouchers and service charge; track payouts; surface variance with reasons. Multi-outlet consolidation included.