Use the Float Report to calculate the cash amount to deposit at your bank after deducting tips and change. To access this report, select Reports > Reports > Float Report from the main navigation bar. Use the dropdown and calendar icon in the upper-right corner to change the time period of the report. This report can be sorted by user or date, and exported or printed.
The reports linked below are additional Fiscal Reports:
The Fiscal Summary gives a high-level overview of all sales, taxes, and receipts created during the selected time period.
The Fiscal Report gives a detailed view of all sales, taxes, and receipts created during the selected time period.
Shift Reports (Fiscal) show when employees started and ended their shift, how many receipts were generated, and the total sales and payment methods during a selected shift or time period.
Find out about Fiscal Closing.