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See every drawer that is open, and every one that was

The shift is what makes a till able to take money, and it is also the unit the whole day is measured in.

You need

  • pos.cash-sessions.read

Steps

  1. Open Shifts. Every session in the business is listed, open or closed, with its Business date.
  2. To start one, the full walk-through is Open a shift and count the float in — the count you key in at the start is what the end of the day is measured against.
  3. While it runs, money in and out of the drawer that is not a sale is recorded here: Take cash out of the drawer, or put more in.
  4. To end one, Close the till at the end of the day covers the blind count and the Z-report. The expected figure and the variance come back from the server, so a cashier cannot see what they are meant to find before they count.

A sale is reported under the trading day its shift opened on, which is why a late-night sale can belong to yesterday.

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