Overview
Review end-of-shift or end-of-day closeout information where available.
Requirements
POS manager access.
Step-by-Step Instructions
- Open Closeout
- Review totals
- Reconcile expected payments and cash actions
- Complete required steps
- Save or print as needed.
Screenshots
Screenshots for this article are managed from production OneSuite captures and appear here when attached.
Tips & Best Practices
Review paid in and paid out entries before finalizing.
Troubleshooting
If totals look wrong, review orders, refunds, and cash actions for the same period.
Related Articles
Last Updated: July 7, 2026