Proper Cash Reconcile process required at the end of every POS Session. Folllowing points to keep in mind
- Reconciliation of Cash, collected from all type of POS Transaction in Single POS Session
- Cash Denomination details to capture
- Drawer Handover report
- Drawer Summary and Detail report
When will it live for use ?
There should be a cash denomination field at the end of the day, just to get some hold of the manager.