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Cash Management

Managers close each budtender's drawer against what the register took, sign off on short shifts, and count the bank drop against what your POS expected. Owners review drop variance and closing accuracy by budtender.

Included in Core and Growth. See plans
Shift closing reconciliation
Shift closing reconciliation. A manager records what each drawer held against register receipts and signs off on short shifts.

Cash drop entry

A manager counts the bank bag by denomination and sees the variance against expected deposits.

Cash operations reports

An owner pairs each POS deposit with its shift closing day by day and checks closing accuracy by budtender.

What it reads

Registers, cash deposits and debit totals read from your POS when a closing, drop or report needs them, with drawer counts and drops typed in by staff.

What runs by itself

A closing $50 or more off is flagged and emailed, and a drop short beyond your tolerance is held for approval.

What it writes back

Nothing.

How it thinks

The same articles operators read inside BudLogix, published as they read them.