When closing out the drawer the "cash sales" on the cash drawer closing screen report do not match the "cash sales" that are shows in the Sales report? We have 2 square stands that share one drawer.
It is my understanding that only one drawer can be assigned to one stand. So if you have two stands but one drawer, then each one would be keeping track of it's own "drawer", and only one machine will not give you the information you seek. You will need to combine the information from both stands to reconcile your one drawer. Good luck!
Square Community