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End of Day & Cash Management

Close the day without a single question mark

The end of day is the one screen a business owner always checks, every day. So it has to contain everything.

Free setup and training24/7 technical supportNo credit card requiredNo commitment

The system tells you what should be in the drawer

Opening float + cash takings + manual entries − withdrawals − commissions are calculated to give the amount that should be in the drawer. You compare it with your count.

Critical items, each on its own line

Service charge, discounts and payment commissions; voids, refunds, comps and amounts put on open accounts each appear separately as a count and an amount. Foreign currency equivalents can be shown, too.

End of day screen

Automatic end of day — no scheduled task on the server required

The end of day can be closed automatically, with no need to set up a scheduled task on the server. If nobody is around at night, it's closed retroactively in the morning when the first user logs in. A safeguard prevents the same day from being closed twice.

Thermal printout

The end-of-day report can be printed on the thermal printer, with cash handover and an open bill check.

Thermal receipt printer
Frequently asked

About End of Day & Cash Management

Automatic end of day kicks in. Even without a scheduled task on the server, it's closed retroactively the next day when the first user logs in, and closing the same day twice is prevented.

End of Day & Cash Management included — everything in a single license

8,500 ₺ + VAT per year. Try free for 10 days, no credit card required.

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