Overview - Daily Tasks

The Software's daily tasks allow you to process the day's transactions and generate reports. The integrated accounting system allows for simple cash drawer reconciliation with direct deposits to the bank account registers. As a result, no double entry is required. And because the point-of-sale system is fully integrated, daily sales detail and accounts receivable activity are collected automatically allowing for fast and accurate period reporting.

Guided Tour

For a guided tour, you can view the Daily Tasks and Cash Drawer tour on the the software website.

 

Under normal circumstances, daily tasks are performed in the following order:

Note: Other Cash Drawer functions will affect the contents of the cash balance. These include customer payments on account, cash paid outs, and COD payments to suppliers.