How Cashiers/Staff Remit End-of-Day Collections to the Owner

Steps on How to Use and Navigate the End-of-Day Collection Process

Remittance refers to the process of turning over all end-of-day sales and collections to the business owner.

On the above navigation, click the “End Of Day”

this window will be shown

Left Section :Denominations refer to paper bills and coins in the cash drawer.

Middle Section: Refers to our Financial Transaction Summary of the Day

Right Section: Refers to the Mechanics Service Cost Summary of the Day

Count the cash in the drawer, then enter the denominations. The actual cash in the drawer will be calculated automatically in the text boxes.

Click the End of Day button, then submit the Daily Transaction Report to the owner and remit the cash.

Once the End of Day Button is Click the System will Automatically Logout

Video Tutorial