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Selling

Payments & cash

Every tender, and a cash drawer that balances to the halala

This is every monetary aspect of running the shop: taking payment by several methods, managing the cash drawer, tracking daily revenue and reconciling it. The cash-management side records every open/close cycle with expected against actual — which turns a suspicion about the till into a number.

What this covers

  • Multi-method payment — cash, card (Mada, Visa, Mastercard), store credit, gift card, mobile payment
  • Split payments — one transaction paid across several methods (50 SAR cash, 100 SAR card)
  • Card payment through the connected terminal: tap, chip or swipe
  • Cash management — opening float, close-of-day count, cash in and out, and the expected-versus-actual variance
  • Programmatic cash-drawer open through the printer’s kick connector
  • Refunds to the original method, in cash, or as store credit
  • A daily financial summary — revenue by tender, refunds, net revenue and cash variance
  • SAR with halalas, and cash rounding to the nearest 0.25 SAR
  • The payment receipt shows the method, the card’s last four digits and the change due
  • Tip support for restaurants and service businesses
  • Expense tracking — petty-cash expenses with a category and a photo of the receipt
  • Gift cards — issue and redeem, with balance tracking

Related features

All features
  • The till

    A complete sale with no internet — ZATCA signing and printing included

    18 capabilitiesSee the detail

  • Plan: Professional

    General ledger

    Real double-entry, posted from yesterday’s sales on its own

    11 capabilitiesSee the detail

  • Reports & analytics

    Twenty reports computed on your store’s Riyadh day, not on UTC

    13 capabilitiesSee the detail

See it on your shop

Thirty minutes on your products, your tax setup and your hardware — not a slide deck.