Dashboard -> Sales Hub -> Cash Flow Fuse
The Cash Flow Fuse provides information on day to day operations within a restaurant.
Batch IDs can be entered in the Batch ID box.
The Credit Cards box summarizes credit card transactions.
Bank deposits can be entered in the Bank Deposit box, and any difference in calculated and entered deposits will appear here.
The Miscellaneous box will show any other remaining transactions.
The Total Cash Flow box shows your calculated cash flow, actual cash flow, and the total difference.
Safe balances can be entered in the Safe Balance box to verify that cash is correct.