The Cash Flows tab of the Summary window presents cash flows for a given session, along with the following information:
- Cash Beginning Balance section – displays the amount entered at the start of the day; also, the section presents the following details:
- Difference at the Start of Day – the difference between the beginning balance and the actual balance at the start of the day
- Deposit at the Start of Day – the amount of a deposit made at the start of the day
- Deposits section:
- Sales – deposits resulting from sales
- Manual Deposits – deposits made manually
- Total – the sum of deposits
- Withdrawals section:
- Returns – displays withdrawals resulting from returns
- Manual Withdrawals – withdrawals entered manually
- Total – the sum of withdrawals
- Current Cash Balance – only available for the current session
- Ending Balance Before Withdrawal – available for an ended session
- Difference at the End of Day – available for an ended session
- Withdrawn Cash – the amount withdrawn at the end of the day; available for an ended session
- Ending Balance After Withdrawal – the sum of the ending balance before withdrawal and the amount of the withdrawn cash; available for an ended session
The Cash Flows tab contains the following buttons:
- [Clear Filters] – clears the date and session filters
- [Refresh] – refreshes data presented in the summary
- [End Day] – opens the End of Day window, allowing you to count the actual cash register balance before confirming the end of the day