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Daily venue control

Cash reconciliation built around the close of trade.

Record daily takings, EFTPOS settlement and counted cash in a workflow that makes shortages, overages and recounts clear.

A clearer close

Keep the count, variance and explanation together.

Daily takings and EFTPOS settlement

Record the figures needed to reconcile the day without duplicating card sales and EFTPOS terminology. Each declaration stays connected to the correct venue and date.

Compulsory staff denomination counts

Staff complete a denomination count so the declared cash is supported by an actual count. Administrators retain the flexibility to complete administrative records without that requirement.

Short and over tills

The workflow calculates the variance rather than hiding it. Staff provide an explanation when required, and authorised managers can request and review a recount.

Private, auditable records

Staff submit the current declaration but do not browse historical counts. Owners and authorised managers can review the records across the venues they manage.

Finish the day with confidence

Make every venue's close easier to review.

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