Revel POS till

Tills are used to reconcile cash at individual POS stations/cash drawers—they keep a record of every cash transaction performed at that terminal. They are also used to log pay-ins, pay-outs, and bank drops. If you have a coin dispenser, they adjust accordingly.

Setting Tills at Start of Business

Each morning, or each shift, the user should set the till by declaring the amount of cash present in the cash drawer. To do this, launch the iPad POS app, go to Settings > Tills and input the amount of cash in the cash drawer:

Tap Set Till to finish. Once the till is set, all cash payments and refunds will automatically be logged to it.

Pay-ins, Pay-outs, and Bank Drops

If you need to add or remove cash from the cash drawer separate from a payment, perform a Pay-in or Pay-out. Here's how:

  1. Launch the iPad POS app.
  2. Navigate to Settings > Tills.
  3. Tap either the Pay-in or Pay-out button.
  4. Input the amount of the transaction and type in a reason.
  5. Tap Done and a receipt will print.

You can also remove money to make a bank drop:

  1. Tap the Bank Drop button.
  2. Type in the amount of the bank drop and choose to print a completed form (which will reflect that amount) or an empty form (which allows you to fill out specific bill data).

Holding Tills

During business hours, you may find that the till needs to be counted mid-service to account for events like employee shift changes. To achieve this, you can hold the till.

To hold a till:

  1. Tap Hold Till:

This will keep the previous till on hold until it's ready to be closed. You'll need to open a new till to keep track of transactions processed after the hold.

To do so, go back to Settings > Tills (in the iPad POS app), where you'll see this prompt:

Tap New Till to start a new till. At the close of business, you can use this same prompt to close the held till.

Note: once you hold a till, you cannot "reestablish" the till (in the sense of putting it back into circulation). Held tills can only be closed.

Closing Tills at Close of Business

At the end of the day (or the end of the shift), you should navigate to Settings > Tills and tap Checkout to declare how much cash is actually present in the drawer (if you held a till earlier, it'll appear as an option here).

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