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Operations > Tills
Dashboard Purpose
Use this dashboard if you want to:
- Monitor cash management activities across your restaurant branches.
- Track opening and closing cash amounts for each till.
- Compare expected cash against actual cash collected.
- Identify cash discrepancies and variances.
- Monitor till performance by branch, device, and user.
- Support daily cash reconciliation and operational audits.
Common Use Cases
Business Question | Where to Look |
|---|---|
| What was the opening cash amount for a specific till? | Review the Opening Amount metric. |
| What was the closing cash amount recorded at the end of the day? | Review the Closing Amount metric. |
| How much cash should be in the till based on transactions? | Review the Estimated Cash metric. |
| Is there a difference between expected and actual cash? | Review the Variance metric. |
| How can I analyze till performance for a specific branch? | Use the Branch Name filter. |
| How can I review till activity for a specific cashier or device? | Use the User Name, Device Name, or Device Type filters. |
Keywords (for search functionality)
tills, cash management, cash reconciliation, opening amount, closing amount, estimated cash, cash variance, till performance, cashier activity, device performance, branch cash management, restaurant operations
Tab / Section Overview
Tab Name | Description | Example Case |
|---|---|---|
| Till Performance Overview | Displays opening amounts, closing amounts, estimated cash, and variances across tills | Review daily cash reconciliation across all branches |
Available Filters
Filter Name | Description | Notes |
|---|---|---|
| Business Date | Filters data by selected business date | Use to review daily, weekly, or monthly till activity |
| Branch Name | Filters results by branch | Useful for branch-level cash analysis |
| Device Name | Filters results by specific POS device | Helps review activity for individual devices |
| Device Type | Filters results by device category | Useful when comparing device performance |
| User Name | Filters results by cashier or user | Helps track user-specific till activity |
Metrics & Definitions
Metric | Definition | Notes |
|---|---|---|
Opening Amount | Amount of cash available in the till at the start of the shift or business day | Starting cash balance |
| Closing Amount | Amount of cash recorded in the till at the end of the shift or business day | Ending cash balance |
| Estimated Cash | Opening Amount + Cash Transactions | Represents the expected amount of cash that should be in the till |
| Variance | Difference between Closing Amount and Estimated Cash | Positive or negative values may indicate cash discrepancies |