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RanceLab Software User Help

Navigation: Sales Management > Reports

Cash Drawer Balancing

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Main Menu > Sale Management > Reports > Cash Drawer Balancing

This report shows the details of cash drawer transactions.

Every day when a cashier starts for the cash transaction, the first job he/she needs to do that is counting of Opening Cash and then enters that in the system. Software always starts a batch by a number each time after enter the Opening Cash. In order to get a documented Opening Cash Record any time you can print X Report but before closing this particular batch.

And at the end of the day before leaving the cash counter a cashier must have to handover the Cash to the concern person with proper accuracy and documents. In this time he/she must have to determine the Closing Cash Balance after counting and then enters that in the system. Software always ends a running batch each time after enters the Closing Balance. In order to get a documented Closing Cash Record you can print Z Report immediately after entering the Closing Cash.

 

Added Option to Hide COGS field from Z Report

In the Cash Drawer Balancing Report, Z Report Option (Ctrl +O), we have added an option

Show Cost of Goods = Yes / No

Based on this option Cost of Goods field will be shown in Z report.

Related Faqs:

Cash Drawer Balancing for efficient cash handling of any denomination along with related print outs and reports.

Introducing Day Open and Day Close to minimize business errors.

How to use Cash Drawer Balancing?

How to adjust the Cash Drawer transaction for Receipt and Payment amount?