Managing cash on your POS

Modified on Thu, 5 Feb at 2:01 PM

The Cash Management page in POS makes it easier for your staff to log cash movements and keep track of the drawer balance throughout the day. It improves accuracy and compliance by providing a clear view of all cash added or removed from the drawer. Use it for logging cash taken out of the drawer for purchases or extra cash added to the drawer from tips.



Where to find cash management

  • Open the POS burger menu in the top right corner.
  • Tap Cash Management (second item under End of day).
  • Alternatively, access it from the End of day flow banner.


Cash management page overview

The page includes:

  1. Cash summary for the current open day:
    • Starting cash.
    • Cash sales.
    • Cash refunds.
    • Cash added/removed.
    • Current cash balance.
  2. Primary actions:
    • Add cash.
    • Remove cash.
    • Open drawer.
  3. Log of today’s cash movements:
    • Shows each add or remove action.
    • Includes amount and description.
    • Begins with starting cash entry at day start.


Adding cash

Use this to increase the cash in your drawer:

  1. Go to Cash management
  2. Tap Add cash
  3. In the pop-up:
    • Enter the amount.
    • Provide a comment (e.g., "Added extra change").
  4. Confirm to save


Removing cash

Use this to take out cash from the register:

  1. Go to Cash management
  2. Tap Remove cash (drawer opens automatically)
  3. In the pop-up:
    • Enter the amount.
    • Provide a comment (e.g., "Cash to bank").
  4. Confirm to save

Result: Cash balance updates, and the log records the entry as removed.


Connection to End of Day flow

Cash differences often arise when cash is not logged properly. By using Cash Management:

  • The expected cash better matches the counted cash at closing.
  • All cash actions are reflected in the printed End of day report.


Find your cash movement data in the customer portal

Once a day is closed, cash movement logs are also included in the End of Day report in the customer portal:

  • Go to Reports > End of Day in the menu to the left.
  • View detailed reports for each closed day.

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