Money
End of day
Count the drawer and check what was billed, at closing time.
End of day has two tabs.
Cash drawer
The money that actually moved through the till: deposits taken, invoices paid and refunds given, split by cash and card, with what should be in the drawer. Every receipt is listed and can be printed again.
Invoiced today
What was billed: invoices issued, credit notes, VAT, and labour against parts. It also shows the day's workshop activity: jobs opened and completed, and parts used.
They are separate because an invoice that has not been paid is not money in the drawer. Pick a single day or a date range.
In Settings → Email notifications you can have a daily summary emailed to you at closing time.