You need to make sure your cash drawer balances at the end of each day or shift.

To close and balance the register select “Closing Cash” and enter the amount of cash in the register”s cash drawer.”

 

Enter the exact bill denominations and tap “Next”.

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When you enter the closing cash amount and tap “Next,” you will be asked to “Add Final Drop” or “Run Z Report.” “Add Final Drop” will take you back to Cash Out.

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“Run Z Report” will reconcile the batch and erase the totals.

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