Track petty cash and the daily report in POS
How to review the drawer balance and cash movements, and print the daily or end-of-day report from POS.
This article covers reviewing petty cash and cash movements during the day, and printing the daily report or ending the day on a POS device.
Steps
- 1From the POS screen, tap the "الإعدادات" (Settings) icon in the top bar to open the side panel.
- 2Choose "التقارير" (Reports) to open the "تقرير اليوم والعهدة" (Daily report & petty cash) panel.
- 3Review the figures: "رصيد البداية" (Opening balance), "عهدة/إيداع" (Petty cash/deposit), "مصاريف" (Expenses), "نقد متوقع بالصندوق" (Expected drawer cash), and "آخر الحركات النقدية" (Recent cash movements).
- 4Tap "🔄 تحديث" (Refresh) to update the figures.
- 5To print a mid-day report without ending the session, tap "طباعة تقرير اليوم" (Print today's report).
- 6To end the day on this device, tap "طباعة نهاية اليوم" (Print end-of-day) — it prints the end-of-day report, then automatically logs out shortly after.
How to verify
Confirm the figures shown in the daily report match the actual amount in the cash drawer.
Common errors
Problem
"هناك مسودة مفتوحة، احذفها أو أتم الطلب قبل طباعة تقرير اليوم." (There's an open draft — delete or complete it before printing today's report.)
Solution
Complete or delete the pending draft order from the orders screen, then try again.
Problem
"هناك مسودة مفتوحة، لا يمكن طباعة نهاية اليوم قبل إغلاقها." (There's an open draft — it must be closed before printing end-of-day.)
Solution
Close all open drafts before ending the day.
Was this article helpful?