Learn the complete POS cash-up and end-of-day reconciliation process to ensure accurate financial records. This video demonstrates counting cash within your register, balancing it to Retail Express records, and completing daily closeout procedures that maintain financial integrity.
Critical for all POS users, cashiers, and store managers responsible for daily cash handling and end-of-shift reconciliation procedures.
- Navigate to the cash-up function from POS home screen
- Count cash in register and enter amounts by denomination
- Reconcile payments and identify cash variances
- Complete the end-of-day process accurately
- Understand how cash-up data flows to reporting