Running a daily settlement (Z-report)
View and download the end-of-day Z-reports for each POS station from the Daily Settlement page.
Daily Settlement is where your end-of-day settlements (Z-reports) are collected for review and bookkeeping. The Z-report itself is created at the POS when an operator ends their shift; in the back office you can browse, check and download every report. Find it under Accounting → Daily Settlement.
Steps
- Open Daily Settlement. In the left menu, click Accounting, then Daily Settlement.
- Filter the list. In the Filters card, set a date range and choose a station, or leave it on All stations to see every till.
- Read the table. Each settlement shows Report #, POS Station, Generated, Period, Net Sales, Total Tax, Sales Count and Generated By.
- Check the page summary. The Summary (Current Page) box totals Total Net Sales, Total Tax and Total Sales Count for the rows shown.
- Download a report. In the PDF column, click the download icon to open or save the official Z-report for that settlement.
Good to know: A separate Z-report is generated for each POS station when its operator closes the shift, so a busy day may produce several settlements. These are your official end-of-day records for Norwegian cash register (kassalov) compliance.
Tip: If a settlement is missing, it usually means that till has not ended its shift yet — close the shift on the POS and it will appear here. Amounts are shown in kr (NOK).
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