Using the Till Balance
To use the till balance screen for your end-of-day process, follow the steps below:
Step 1
Navigate to Store Management in the main KNAPS menu, then select Till Balance.

The Till Balance search screen will open.

Step 2
Search for the till balance you want to open, then click the edit (pen) icon
on its line

If you turned off the Auto Accept Till (Nightly) option in Step 3 of “Managing Till Store Settings,” you will need to manually count your till at the end of the day and enter the amounts in the Till Count fields within the Balance Till section. If the Auto Accept Till (Nightly) option is turned ON, the till will be automatically accepted at the end of each day without manual input.
Step 3
To manually save and accept the Till Balance at day’s end, click Save.

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