Single or Multi-Drawer
Track, compare, report on, and audit tills. With a multi-drawer functionality, authorized employees can dig into the details and help ensure skims, deposits, and floats are accurate.
Cash In and Cash Out
At the beginning and end of the sales day, managers or permitted employees can open and close tills with counts that are visible or blind. It’s total streamlined security.
Not having cash on-site can be a nightmare scenario. Don’t miss out on a single sale and determine starting till amounts and denominations so every customer can be served
Internal Security Controls
Prevent fraud and theft with robust employee verification. Sensitive cash areas are asked for dual authentication from a second employee to everything is in order.
During the day, having a full till can be stressful. Periodically move money to a safe place so staff is at ease until a deposit can be made.
Forcing cash in, cash out, and cash skims at certain times in a retail day to ensure cash levels are maintained and tills aren’t overwhelmed with funds.
Drawer and Cash Audits
If you need to know what money is where it’s never been easier to do so. No matter why you need drawer data, it’s easily accessible.
Audit trails, reports, and employee data are all reconcilable. Cash out to bank statements is always tracked so you can be sure the right money made it to the right hands.