Till balancing
An important tool for exporting data to the third party system to ensure totals are correct. Record the actual till takings in Sysnet and correct tendering mistakes.
Reflect the true figures
Till balancing is vital if you are exporting to third party accounting systems to ensure the correct totals are exported, reduce time, and eliminate as many errors as possible. It adjusts all totals to match physical cash and Eftpos totals at the end of each day. All reports from Sysnet will then reflect the true figures.
Cash control
With efficient point of sale, sales figures will accurately reflect the actual takings for comparison when performing cash counts.
Till balancing
An important tool for exporting data to the third party system to ensure totals are correct. Record the actual till takings in Sysnet and correct tendering mistakes
Variance reporting
Allows you to monitor any trends with particular POS operators.
Correct at the POS
You can correct tendering mistakes made at the POS and adjust the system totals to actuals. This process is vital when exporting sales and payments to a third party accounting system.
Till takings
Used to enter the actual till takings in Sysnet to compare with the system totals. Allows for that second cross check and balance after initial counts are performed by POS operators.
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