Sales Management > Transactions > Button in Scan POS and Touch POS
The ability to properly handle money collected against sales important aspect of retail.
The process of counting the money, balancing the cash drawer creates an accountability of the day's transactions.
Balancing a cash drawer usually takes place at the end of the day or at the end of a cashier's shift.
With entering opening balance one batch got started. The batch is opened until you enter the details of the closing balance.

Once you do the opening entry and closing entry you can check Cash Drawer Balancing report.
Buttons in Cash Drawer Balancing Screen
–O Opening |
To enter the opening cash use this button. Enter the details of the cash and use this button to create an Opening entry. |
–C Closing |
To enter the Closing cash use this button. Enter the details of the cash and use this button to create a Closing entry. |
–X XReport |
Use this button to print a report of detailed transactions (before entering the closing balance). |
–Z ZReport |
Use this button to print a report of transactions, after entering the closing balance. |