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