Feature

Clean opens, clean closes, no guesswork.

Open with a starting amount, ring sales through the shift, and close with a tight reconciliation: totals per payment type, automatic variance, exportable report.

  • Opening amount and assigned cashier
  • Separate totals for cash, card, transfers and other methods
  • Close-out with expected vs counted and variance
  • Reports by register, shift and user
  • Full history for internal audit

All features

Daily cash drawer & shift close | Dipos