End of Day Reconciliation
The End of Day Reconciliation process is three steps and begins on the point of sale. Step 1: Close Terminal on the Point of Sale At this point, you should login to ThriftTrac.com. Step 2: Select Point of Sale > Drawers. On this screen you will see all of your pending drawers for the day. In order […]
End-of-Day Reconciliation Process
The End-of-Day Reconciliation process consists of three steps, beginning at the Point of Sale (POS).
Step 1: Close the Terminal on the Point of Sale
Begin by closing the terminal on the Point of Sale.
Once the terminal is closed, log in to ThriftTrac.com to continue the reconciliation process.
Step 2: Reconcile Your Drawers
From ThriftTrac, navigate to:
Point of Sale > Drawers
This screen will display all pending drawers for the day.
For each pending drawer:
Select Edit.
Complete the required fields on the following screen.
Enter the actual amount of cash on hand.
Select Update Drawer to save your changes.
Repeat these steps until all pending drawers have been reconciled.
Important: Always enter the actual amount on hand when reconciling a drawer. Do not adjust the amount to match the expected total.
Step 3: Complete the Retail Closeout
Navigate to:
Metrics > Retail
Select New from POS in the upper-right corner of the screen.
Select the date you are reconciling.
Confirm that all drawers listed on the right-hand side show a status of Reconciled.
Complete the remaining fields on the form. Your credit card deposits will populate automatically.
Review the information for accuracy.
Scroll to the bottom of the page and select Closeout Today.
Selecting Closeout Today saves your information and completes the End-of-Day Reconciliation process.
Your reconciliation is complete once all drawers are reconciled and the Retail Closeout has been successfully submitted.
Last updated August 11, 2026
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