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Home/Knowledge Base/Payment/Drawer Transactions / Daily Expenses Tracker

Drawer Transactions / Daily Expenses Tracker

February 12, 2026

The Drawer Transactions feature in SalesPlay POS helps businesses efficiently manage cash-related activities. It streamlines recording inflows and outflows from the cash drawer or cash box, including expenses, bill payments, and supplier payments, providing better overall financial management.


Example

If a user needs to pay $10 to a supplier for new items, they withdraw the amount from the cash drawer using the POS system.


How It Works

  • Users can create and define specific reasons for each transaction.
  • Cash-related transactions such as supplier payments, staff wages, utility bills, donations, or other relevant expenses or income can be easily recorded.
  • The feature supports both pay-in and pay-out transactions.
  • At the end of a shift, users can perform a shift-end operation to tally the available cash balance and reconcile the cash drawer.
  • The POS system provides a summary of all transactions during the shift, helping identify discrepancies.

How to Activate and Perform Drawer Transactions

The Drawer Transactions feature enhances cash management by giving businesses a reliable tool to monitor and control cash-related activities.

Within Back Office

  1. Login to the SalesPlay POS Back Office Web Portal.
  2. Select Settings from the main menu.
  3. Go to the Feature section.
  4. Turn ON the Shift Management button and click Save.
  5. After enabling Shift Management, a new option Drawer Reasons will appear in the Settings section.
  6. Select the Drawer Reasons section.
  7. Click Add Drawer Reasons, enter the reason name, and click Save.

Within POS App

  • Open the POS App main menu.
  • Select Manage Sale.
  • Click Cash Management.
  • Select Drawer Reasons.
  • Enter the Cash-in or Cash-out amount.
  • Select a reason from the dropdown.
  • Click Pay In or Pay Out and proceed.

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