Please rotate your mobile device to portrait mode to use Lightspeed.

Takings

Back to POS

Takings should be finalised on a daily basis to keep your takings reports accurate.

Your sales reports reflect a date range, your takings include all payments, adjustments and refunds made since the last time you did your takings. This used to be called X and Z Reads.

 

Finalising Takings at the end of day ensures that the payments recorded against each transaction are reconciled and balanced with each payment type received.

Total Counted 0
Finalise Takings
Open Cash Drawer
Print

Print Queue

Reprint

In order to perform the update, Lightspeed will need to be restarted and you will be logged out of your session.

Do you wish to proceed with the update?

Cancel
0
7
8
9
4
5
6
1
2
3
0
.
OK