We have a two stage accountings procedure in which we need to do a daily reconciliation for funds as well as a fortnightly (sometimes weekly) reconciliation in which we input values to our external system. For the daily process, we want to see the ability to see reports in POS generate automatically without staff needing to click on a button, i.e. we always need to see daily income. We would then use the 'cash up' button for the fortnightly (separate) process.