The point of sale has a drawer summary which will report the cash and check transactions you have recorded from that specific workstation. Before you can utilize this feature you will need to assign a unique device label to BusinessMind. The link here explains how to do that one time set up. http://docs.bmjapp.help/en/articles/3404171-how-to-set-your-device-label .
To display the drawer summary follow the below instructions.
From the point of sale click the side tab icon to open the side tray.
Click the drawer button to access the drawer summary.
You can modify the date if needed.