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End of Day

There are 4 types of order states:

  1. Open when some items were added to an empty order and payment in full was not yet received.
  2. Closed the payment was received in full for the order.
  3. Reconciled after cashier performed Reconcile Cash Drawer command.
  4. Z-closed after closing the whole restaurant.

The typical cashier's day working procedure:

  1. Cashier starts her day by creating a shift in main menu View Shifts by pressing Clock In button.
  2. Then she performs Enter Begin Cash command of main menu Actions. On this window she counts money found in cash drawer.
  3. After that this workstation may start accepting new orders.
  4. At the end of shift the cashier should execute main menu Actions Reconcile Cash drawer command. There she counts money in cash drawer. So Reconcile Cash Drawer command works only for current cash drawer. All orders assigned to this transaction will be reconciled and Z-Out Cash Drawer report will be produced.
  5. The cashier may execute main menu View - Shifts - Clock Out command.
  6. At the end of day cashier or administrator should execute main menu Actions End of Day Process command. This command z-close all reconciled orders passed through all workstations (cash drawers). Z-Out Restaurant Close Report will be produced. Alternatively it's possible to backup all data into backup file and upload sales data on remote FTP server for further analysis (for example, for third-party inventory software).

Note: there are maybe several cash drawer reconciliations during the same cashier's shift.

Note: only administrators and cashiers can access Enter Begin Cash, Reconcile Cash Drawer and End of Day commands.

See also:

Divide Order |Getting started | Creating an order | Taking payment