# Settlements: reviewing drawer closes and recording a deposit

> The Settlements screen: every branch's shift closes with their status, each shift's report, "Record deposit" to move cash to the bank, safe or owner, and reconciliation.

Section: Money & reports · verified against the product on 2026-09-14

Canonical: https://dashing.krd/en/help/settlements-and-deposits

## Steps

1. Open "Financial", then "Settlements".
2. In the drawer-closes section, every shift shows its status: "Open", "Confirmed" or "Under review". Press a shift for its report.
3. To move the cash: "Record deposit", choose the destination "Bank", "Safe" or "Owner", enter the "Amount", then "Save".
4. To reconcile the bank statement: upload it from "Choose file" in the reconciliation section and match the entries against the recorded transfers.

## What happens in the books

A deposit moves the balance from the branch's drawer to the bank, the safe or the owner's account in one entry; the next drawer's expected cash starts correct.

## What the system does not do

It does not fetch the bank statement automatically and does not connect to any bank.

## Common questions

**What is the difference between a deposit and a cash-out during the shift?**

A cash-out during the shift takes money out of an open drawer for a reason. A deposit in Settlements moves a closed shift's cash to the bank, the safe or the owner.

**The shift shows "Under review".**

It has a variance above the threshold or an incomplete reason; open it, review the reason, and confirm it so it becomes "Confirmed".

## Other languages

- العربية: https://dashing.krd/help/settlements-and-deposits
- کوردی: https://dashing.krd/ckb/help/settlements-and-deposits

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Dashing · https://dashing.krd/en
