The second step of closing a shift is to declare your takings on Retail 365 in the End of Day module
Please Note that the screen is split into three sections
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The top section displays all Undeclared Z Reads*
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The second section houses all till shifts that are currently open*
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The third section displays all Historic Z Reads*
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To reconcile the shift you closed in Step 1 click on the End of Day module from the home screen
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In the Undeclared Z Reads section find the shift you wish to reconcile and press the
button
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A screen similar to that displayed below will now appear
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Count the different tenders and enter in the amounts for Cash, Cheque, Credit, Visa- Debit, Pay-outs etc. NOTE: if you do not enter the payouts total then your cash will be short by that amount after you have reconciled the till cash shift
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Click the
button
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The window displayed below will appear temporarily confirming that the shift has been reconciled successfully
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The cash up reconciliation screen/ Z Read will appear for that shift
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Press Print (top right), if you wish to print the z-read out
Your till is now ready to be re-opened for trading.