How to reconcile the till with the cash register report
At the end of every shift you need to know whether the money in the drawer matches the sales. RushFlow’s Cash Register report shows every POS register open, close and reconciliation — the classic Z-report — so an over or short is visible per shift, per counter and per cashier instead of being lost in the day’s total.
Step by step
- Close the register at shift endPOS (Android/Sunmi/Web): when a cashier ends their shift, they count the drawer and close the register. RushFlow records the opening float, expected cash and the counted amount.
- Open the reportWeb: Reports → Cash Register (Financial group), or search "register" / "till".
- Pick the period and counterFilter by date, branch, counter or cashier.
- Read over/shortCompare expected vs counted cash to see whether each shift balanced, and by how much.
Why per-shift matters
A day-level cash figure hides which shift or which cashier came up short. Because RushFlow reconciles at register close, the report pins a discrepancy to the exact shift and counter — the difference between a vague worry and an answerable question.
Frequently asked questions
Does RushFlow have a Z-report / cash-up report?
Yes. The Cash Register report shows every register open, close and reconciliation, with expected vs counted cash per shift, counter and cashier.
Can I see which cashier’s drawer was short?
Yes. Because the drawer is counted at register close, the report attributes any over/short to the specific shift, counter and cashier.
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