Cash control

Your register always balanced

Open and close the register by shift, run the count, and know to the cent how much came in, who handled it, and whether it all adds up. No more unexplained shortages.

Register & shifts organizes cash handling at your point of sale: each cashier opens their shift with a float, records their sales, and on closing counts the money against what the system expected. Ideal for businesses with several cashiers, schedules, or locations where a shortfall can't go unnoticed.

Opening

Every shift starts with its float

The cashier opens their shift by declaring the starting cash they begin working with. From there, everything they collect is tied to them and that shift. Nobody starts selling without setting their base clear.

  • Record the cash float at the start of the shift
  • Identify the cashier responsible for the session
  • Automatically tie each sale to the open shift
  • Prevent selling with the register closed
Count

Count the cash and catch imbalances

On closing, the cashier declares how much money is physically there and Lumon compares it with what there should be. If there's a difference, you see it immediately with its exact amount. The count stops being a headache at the end of the day.

  • Compare counted cash against expected
  • Show overages and shortages instantly
  • Break down the shift's sales by payment method
  • Record cash ins and outs during the session
Close-out

Close-out by shift, cashier, and location

Generate the register close-out for each session with the detail of what was collected, by whom, and at which spot. Perfect for businesses with several shifts a day or several registers running at once. You end the day with clear numbers.

  • Issue the close-out at the end of each shift
  • Separate close-outs by cashier and by register
  • Consolidate cash from all locations
  • Save each close-out for later reference
Movements

Everything in and out is recorded

Cash withdrawals, expenses paid from the register, or float injections are logged on the spot and with a reason. That way the count always adds up and you know exactly why. No money appearing or vanishing without a trace.

  • Log cash withdrawals with their reason
  • Record expenses paid straight from the register
  • Document extra income or float changes
  • Keep the register balance always up to date

Everything included

Opening with float

Each shift starts by declaring the cashier's base cash.

Automatic count

Lumon calculates the expected and compares it with the counted.

Close-out by cashier

Know how much each person handled on their shift.

Shortages and overages

Detect any difference with its exact amount at closing.

Register movements

Record cash withdrawals, expenses, and income with their reason.

Close-out history

Look up any past close-out by date, shift, or location.

Frequently asked questions

Close the day with no surprises

Control cash shift by shift, balance your register to the cent, and always know who handled your money.

More in Team & operations

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