DocumentationHow-To GuidesPOS Shifts & Z-Reports
Point of Sale

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:

  1. In the portal, navigate to Settings > POS Devices
  2. Click Generate Linking Code — a code in the format XXX-XXX-XXX is displayed (valid for 10 minutes)
  3. On the POS app, enter the linking code when prompted
  4. 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.

ConceptDescription
ShiftA single working session from open to close
Opening floatThe starting cash amount in the register
Closing countThe actual cash counted at the end of the shift
Expected cashOpening float + cash sales - cash refunds
VarianceDifference between expected cash and closing count

Opening a Shift

  1. Launch the Stogly POS app
  2. Log in with your credentials
  3. Click Open Shift
  4. Enter the opening float — the amount of cash in the register at the start
  5. 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

  1. Click Close Shift in the POS app
  2. Count the cash in your register
  3. Enter the closing cash amount
  4. Review the shift summary:
    - Total revenue

    - Number of transactions

    - Breakdown by payment method

    - Expected cash vs. actual cash (variance)
  5. 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

  1. In the portal, navigate to POS > Shift Reports
  2. Select a store and date range
  3. Click on a shift to view its Z-Report

Z-Report Contents

SectionDetails
Shift infoDevice, operator, open/close timestamps
Sales summaryTotal revenue, transaction count, average transaction value
Payment breakdownCash, card, wire transfer, voucher, mobile, instant transfer, check, mixed, and other
Cash managementOpening float, expected cash, closing count, variance
Tax summaryTotal tax collected, broken down by tax rate
Top productsBest-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