Money in, money out — matched to the last dong
Sales revenue, purchasing costs, rent and utilities — every amount enters the cash book. At shift end the cashier closes out; the system compares counted cash to the books and flags the difference.
- Free to start
- No card required
- AI onboarding in ~30 sec
What makes Cash book & cash flow on SealSales special?
Transparent shift close
Each shift gets a record: opening float, revenue, expenses, closing cash — clean handovers.
Categorised expenses
Expenses tagged by category (ingredients, wages, rent…) — see where the money really goes.
Real-time balances
Cash drawer and bank balances update instantly — owners track the till from anywhere.
The full Finance & reporting toolkit
Features in the same group work together seamlessly — switch on and go, no integration work.
Quick questions & answers
How are cash discrepancies caught?
At shift close the cashier enters counted cash; the system compares with sales data and records any variance.
Do operating expenses reach the profit report?
Yes. Expenses enter the cash book by category and feed the profit & loss for the matching period.
Try Cash book & cash flow today
One platform, everything under control. Create your store in under a minute — the Free plan lasts forever, no card required.
- Free forever
- No card required
- AI onboarding