Manage your warehouse and shop cash operations with precision. OpsCash is designed for businesses with cashiers handling daily cash transactions, driver payments, and operational expenses. KEY FEATURES: Cash Drawer Management β’ Track opening and closing balances for each cashier shift β’ Monitor cash flow in real-time β’ Automatic balance calculations β’ Visual indicators for overages and shortages β’ Perfect for end-of-shift reconciliation Transaction Tracking β’ Record all cash in and cash out transactions β’ Categorize expenses (fuel, supplies, maintenance, etc.) β’ Track driver payments and cash advances β’ Add detailed descriptions and notes β’ Automatic timestamping for audit trails Driver Payment Reconciliation β’ Track cash given to drivers β’ Calculate order amounts and change β’ Automatic reconciliation summaries per driver β’ Identify discrepancies instantly β’ Perfect for delivery operations and driver management Multi-Currency Support β’ Support for 20+ currencies including TND, USD, EUR, GBP, AED, SAR, and more β’ Easy currency switching β’ Accurate currency formatting for international operations Session History & Reporting β’ Complete session history with date grouping β’ Daily summaries with totals and net flow β’ Track cashier performance over time β’ View detailed transaction logs β’ Export-ready data for accounting Professional Data Export β’ Export all sessions to CSV format β’ Incremental export (only new data since last export) β’ Complete transaction details included β’ Perfect for accounting departments and financial reporting β’ Compatible with Excel and accounting software Offline-First Architecture β’ Works completely offline - no internet required β’ All data stored securely on device β’ Automatic persistence - data survives app restarts β’ Perfect for warehouses with limited connectivity DESIGNED FOR: β’ Warehouses and distribution centers β’ Wholesale shops and B2B retailers β’ Cashier-operated businesses β’ Delivery operations with driver payments β’ Businesses managing operational cash flow β’ Companies needing accurate cash reconciliation