
How do you run a guided cash drawer count that is right every time?
Turn an error-prone chore into a fast, accurate routine.
TillClosr guides drawer counts, tracks over and short, and reconciles the till at end of day with a clean deposit log.
No credit card required to start. Cancel anytime.
Counting a drawer on scrap paper invites math errors, and a wrong count buries real over and short problems in noise. You cannot fix what the close is hiding.
When the deposit trail is loose, questions come days later with no clear answer. Reconstructing a night from memory wastes the manager's morning and trust with it.
TillClosr stays focused and does this one job extremely well.
Count by denomination and TillClosr does the math, so a drawer total is right the first time, every time.
Compare the counted cash against expected sales and see over or short instantly, by drawer and by cashier.
Roll up every drawer into one clean end-of-day total, with cash, expected, and variance in one view.
Record each bank deposit with amount and date, so the trail from drawer to bank is always complete.
Tie each count to a cashier and shift, so patterns in over and short are easy to see and address.
Keep every close on record, so a question days later has a clear, timestamped answer.
Three steps from sign up to real value.
Enter bills and coins by denomination, and TillClosr totals the drawer for you.
Compare against expected sales to see over or short by drawer and cashier.
Roll drawers into the end-of-day total and record the deposit in the log.
Start small and grow when you are ready. No ads, no reselling your data, no surprises.
Every plan includes email support and a 14 day money back guarantee.

Written after closing more registers than I can count. A tight close protects the team and makes the next morning start clean.
You can enter expected sales manually, and POS sales imports are available or on the roadmap depending on your system.
Yes. Each count ties to a cashier and shift, so you can see patterns and address them directly.
This is an honest limit. You still count the physical cash, but TillClosr does the math and catches denomination errors.
The Register plan covers up to two drawers, and Store and Chain support unlimited drawers per location.
Yes. Every close and deposit is timestamped and kept, so you have a clear trail if a question comes up later.
Yes. The guided count and reconcile flow works the same whether the drawer is behind a bar or a checkout counter.
Cash drawer counts and end-of-day till reconciliation. Start today and see the difference in your first week.
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