POS Shifts & Z-Reports
Open and close shifts, reconcile cash, and generate Z-reports.
Learn how POS shifts work, how to open and close them, and how to read shift reports and Z-Reports in Stogly.
Overview
Stogly POS uses a shift-based model for cash management and daily reconciliation. Each shift tracks all transactions, payment methods, and cash movements from opening to closing. At the end of a shift, a Z-Report summarizes the totals for accounting and audit purposes.
Linking POS to a Store
Before using shifts, your POS device must be linked to a store:
- In the portal, navigate to Settings > POS Devices
- Click Generate Linking Code — a code in the format
XXX-XXX-XXXis displayed (valid for 10 minutes) - On the POS app, enter the linking code when prompted
- The POS device is now associated with your store and will sync products, prices, and categories
Understanding Shifts
A shift represents a working session on a POS device. It has a defined start and end, and all sales during that period are grouped under it.
| Concept | Description |
|---|---|
| Shift | A single working session from open to close |
| Opening float | The starting cash amount in the register |
| Closing count | The actual cash counted at the end of the shift |
| Expected cash | Opening float + cash sales - cash refunds |
| Variance | Difference between expected cash and closing count |
Opening a Shift
- Launch the Stogly POS app
- Log in with your credentials
- Click Open Shift
- Enter the opening float — the amount of cash in the register at the start
- Click Confirm
All transactions are now recorded under this shift until it is closed.
Processing Sales During a Shift
During an open shift, every sale is automatically associated with the current shift. The POS tracks:
- Items sold (product, quantity, price)
- Payment method (cash, card, or split payment)
- Discounts applied
- Refunds processed
Closing a Shift
- Click Close Shift in the POS app
- Count the cash in your register
- Enter the closing cash amount
- Review the shift summary:
- Total revenue
- Number of transactions
- Breakdown by payment method
- Expected cash vs. actual cash (variance) - Click Confirm Close
The shift is now closed. A Z-Report is generated automatically.
Z-Reports (Daily Summaries)
A Z-Report is a summary of all transactions during a closed shift. It serves as the official daily record for accounting.
Viewing Z-Reports
- In the portal, navigate to POS > Shift Reports
- Select a store and date range
- Click on a shift to view its Z-Report
Z-Report Contents
| Section | Details |
|---|---|
| Shift info | Device, operator, open/close timestamps |
| Sales summary | Total revenue, transaction count, average transaction value |
| Payment breakdown | Cash, card, wire transfer, voucher, mobile, instant transfer, check, mixed, and other |
| Cash management | Opening float, expected cash, closing count, variance |
| Tax summary | Total tax collected, broken down by tax rate |
| Top products | Best-selling items during the shift |
Cash Management
Beyond the opening float and closing count, you can record mid-shift cash events:
- Cash in — adding cash to the register (e.g., change from the bank)
- Cash out — removing cash from the register (e.g., paying a supplier in cash)
These events are reflected in the expected cash calculation on the Z-Report.
Training Mode and Z-Reports
If Training Mode is enabled, all receipts issued during that period are type 3 (Obuka) and are excluded from Z-Report totals. This means training transactions do not affect your daily sales summaries or cash reconciliation.
Tips & Best Practices
- Always open a shift before selling — transactions outside of a shift are not possible in the POS
- Count cash carefully at close — the variance between expected and actual cash is a key audit metric
- Review Z-Reports daily — check for variances and investigate discrepancies before they accumulate
- Use cash-in/cash-out records — documenting every cash movement keeps your register reconciliation accurate
- One shift per operator — if multiple people use the same POS, close and reopen shifts at handover so each operator has their own report
Need help? Contact support at support@stogly.com