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title: "Daily Cash Reconciliation"
canonical: "https://kb.myframeworks.com.au/space/PROSTIXV48DOC/31101783/Daily%20Cash%20Reconciliation"
format: markdown
---
This option generates a report summarising transactions from the nominated range of tills for a nominated day of trading. The report includes: To  generate a report summarising transactions from the nominated range  of tills for a nominated day of trading , perform the following: 1. From the  ProStix   Main   Menu  select  'Point of Sale'  then  'Till Reconciliation'  then  'Daily Cash Reconciliation'. The first screen prompts for the ranges to include in the report: You are prompted with your printing/viewing options.