Start of Day

Before starting any cash sales activity on an NSPOS register, the store manger or cashier will run Start of Day (SOD) to count and enter the beginning currency denominations placed in each register. This money is a float for making change throughout the day. Accurate reporting for identifying overages or shortages depends on ensuring beginning values are accurate.

To enter a beginning till count:

  1. In Sales Mode, complete all sales and return transactions.

  2. Tap Manager Functions and then Start of Day.

    If you do not see Manager Functions, press Ctrl+F12, then search for and tap Start of Day.

  3. In the Count Till window, enter the count for each coin and bill denomination.

    Tip:

    Use the tab key to move between fields.

  4. Review the total Cash Amount on the right.

  5. Tap Done when complete.

    The till is ready for the opening shift. Because NSPOS assigns the till to the shift, different cashiers can log in and out of NSPOS using this till during the shift.

Related Topics

Till Management Tasks
During the Day
End of Day

General Notices