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During my Day End Procedure (one store, one workstation), I can run an X report, then I try to Z-Out Drawer Count and it says I have no data for the the day? But there is a Z-Out Close report showing the days sales the same as the X report? Please help. I need to get the drawer counts in.
Hi there, DecorFurniture.
I'll make sure that you can reconcile the cash drawer.
We can run a Financial Exchange to isolate the issue. This process will transfer your sales data from Point of Sale to QuickBooks Desktop and vice versa. Before diving in, let's make sure to perform the required procedures to ensure an uninterrupted connection between the two programs. You can go to the Financial Exchange Setup section of this guide to learn more about the process: Financial Exchange Overview.
Then, let's set up QuickBooks Desktop Connection Now in QuickBooks Point of Sale. Feel free to follow these simple steps:
Once you're all set up and ready, it's time to initiate a Financial Exchange. Let me show you how:
I've also included an article that explains why the amounts in your Inventory report for both Point of Sale and QuickBooks Desktop are not the same: Inventory valuation amounts in POS and QBDT do not match.
If there's anything else that I can help you with, please don't hesitate to leave a comment below. Stay safe and have a great rest of the day.
Thank you - It was just a matter of some filters that needed selected.
thank you! This one comment led me to go to my reports and update the workstation from the filter section - everything is working great!
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