Cash Up
Reconcile every Shift in minutes

Staff count tills, cards and floats on a phone at close. Variances calculate as the counts go in, and the figures reach head office the same night.
With Cash Up
A reconciled day, with variances that make sense, sent to the right people the same night.
What It Replaces
Cash sheets, pen and paper, Excel, broken formulas and a variance nobody can explain a week later.
How It Works
01
Count
Tills, float and safe counted on the phone at close
02
Match
Card and terminal totals entered against the Z-read.
03
Explain
Any variance needs a reason and a name before it submits.
04
Report
The day’s figures reach the owner and head office.
What's included
Cash and card, per till, per shift.
Till and terminal reconciliation
Recorded against the person who closed.
Variance
Owners see the day after close or first thing in the morning.
Same-night figures
Cash and card, per till, per shift.
Till and terminal reconciliation
Recorded against the person who closed.
Variance
Owners see the day after close or first thing in the morning.
Same-night figures
For you and your accountant
What your accountant gets
Daily takings
Reconciled per till and per payment type.
Cash variances
With reason, person and time recorded.
Card settlements
Matched to terminal totals.
History
Every cash up exportable by period.
The cash-up feature of the app has simplified the way we can quickly reconcile cash and card transactions, account for any discrepancies, and generate detailed cash-up reports
Julie Ryan
Yamamori
