End the Day
After a long day of transactions, payouts, and pay-ins, the Terminal should be closed so the expected and actual cashflow can be reconciled. For assistance logging into a terminal please visit the appropriate article. Navigate to the Admin Tab of the terminal and select Close Terminal.
Count the Drawer
The system keeps track throughout the day of how much of each payment type has passed through the system. There's a chance there's a difference between the amount that has been reported to SimpleConsign and the actual amount on hand. Counting the drawer at the end of each business day helps to reconcile this process. Enter the amount collected for each listed payment type.
Once you've entered the totals be sure to click Close Terminal. To finish the close out procedure please also complete the End of Day process.