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Start Session & End Session 

Start of Day and End of Day have been renamed to Start Session and End Session respectively. 

The look and feel of the Start Session and End Session processes have been updated. New start of day checks have been put in place, and the End Session function no longer assumes cash will be banked at the end of the day. See further details below. 

Checking the previous day was closed 

Upon an operator logging in to Fusion on a new day, the system will check if there were any transactions that weren’t included in an End Session on the previous business day, and if so will prompt the operator to perform the End Session before transactions can be taken that day. The warning will appear whenever another user logs in or if anyone tries to perform any point of sale functions. 

Users will also be prompted to Start Session if anyone tries to process any transactions before it has been done that day. 

 

Check for drawer discrepancies during start of session 

When starting a session, a warning message has been introduced and will notify the user if the starting drawer amount differs from the ending drawer amount from the previous session. 

  • CANCEL will allow the user to go back to the previous screen and adjust the starting drawer amount. 
  • DONE will enforce a reason is entered, and will start the session with the updated drawer amount and allow operators to process transactions. An exception will be noted in the business log for auditing purposes.


End Session no longer assumes cash banking 

The End Session function will no longer assume that cash will be deposited to the bank as part of this function. Cash can be moved between drawers during the End Session, however staff will perform all cash outs separately to the End Session function.  

 

Updated end of day report names 

The following report names have been updated:  

  • “Session Till Balance” has been renamed to “Session Balance”, to cater for the different industries and terminologies for the till, register, cash drawer, terminal, etc. 
  • “End of Day Till Balance” has been renamed to “Day Balance”, to indicate that it is date-based.