Session number of day allowed policy should be available in master policy. Currently if by mistakenly session is not closed at the time of day closing then next day billing is continued by cashier. Due to this while Head cashier trying to settle the last day after checking session wise sale, the current day sale is merged with last day session. So, last day sale value is over. Actual cash is short. Cashier already submit the cash of last day at the time of closing.