Reconciliation and the cash report
Under Reconcile.
There is no reconcile button
Deliberately. Two devices reconcile the moment they meet — over the QR code at the desk, or through a student walking from one location to the other. This screen shows what is here afterwards.
Cash report
Takings by location and device. Both, because those are two different questions: "what came in at the old town desk?" and "who was on the till?" — and the second one gets asked when the cash box does not match.
| Column | Means |
|---|---|
| Sales | passes sold |
| Cash | money actually taken |
| Check-ins | accepted redemptions at this counter |
| Disputed | check-ins that collided with another counter's |
Disputed is the column to watch. In a contradiction neither redemption is accepted — but two people were in two classes. "0 check-ins" would have been true and misleading, so they are listed separately.
A transfer to a new identifier counts as a sale but not as cash. Nobody paid.

What the report cannot do
It only sees what has arrived on this device. For a complete day's total the devices from both locations have to have met once — or you add both reports together knowing that overlaps may still resolve.