The tab Cash Flows available in the window POS Summary presents cash flows for a given session, displaying the following information:
- Cash Beginning Balance – it is an amount entered at the start of day
- Difference at the Start of Day – it is not included in the cash register balance
- Deposit at the Start of Day
- Deposits – divided into manual deposits and sales-related deposits
- Withdrawals – divided into manual withdrawals, return-related withdrawals, and change (if the functionality of registering change is active)