Le Chaaya
Sign in with your employee ID and PIN.
Morning count
Coins
Both counts are locked for today.
What you've counted
Cash that came in
Read this off the POS. Never work it out from the cash in the drawer — that makes the check meaningless.
Float added, or change bought from a shop.
Cash that went out
Banking, owner draw, anything at all. Every removal needs a reason and a name — an unrecorded removal shows up as a shortage and someone gets blamed for it.
The day's check
Needed before the day can close. "No idea, will check the bills tomorrow" is a fine answer.
Whose money is in the drawer
Add an entry
Outstanding right now
Latest entries
Entries can't be edited or deleted. To fix one, add the opposite entry with a note.
Tally the day's sales
Each channel is checked against its own source. Never against the total — a cash shortage and a bank overage of the same size would cancel out and you'd see a clean day.
From the bank or UPI app, not from the POS.
The bank gap is worked out on the Sales Tally tab of the sheet.