Perform end of day
End of Day
The End of Day (EOD) process must be run on each Fred NXT POS terminal each day, before balancing and posting takings in Fred NXT Office, to ensure your database is displaying up to date activity such as stock on hand figures and customer transactions.
- Log on to Fred NXT POS using your preferred method.
- Tap Manager Ops, then View Reports.
- Tap Shift Totals by Tender Type and check the amounts for the required tenders.
For further details about reports in Fred NXT POS, see POS reports
- Check the default date range for the report, and adjust (if required), then tap View to display the report data.
- Write down the amount to declare.
- When done, click Close, then Home to return to the main tile display.
- Tap End of Day, then Tender Declaration, then Yes.
- Choose Cash, then enter the flat amount or enter the breakddown by denomination.
- Select Cheque/Voucher (or any other payment that needs to be declared), then enter the amount for each, then OK when done.
- At the prompt, tap Yes to confirm.
- Tap EFT Settlement, then tap Settle.
- Tap Z Report Close Shift and Yes to complete.
- At the Operator ID prompt, click (bottom right) to exit.
- Once complete, Tap Home, then Logout.
When you next log into Fred NXT POS, ensure you select Open Shift when prompted.
If you are using Fred NXT Office (Web), refer to Fred NXT Office (Web) > End of Day
- Log on to Fred NXT POS using your preferred method.
- Tap End of Day, then Reprint Z.