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Cash Drawer Reconciliation

 

Its easy to close out shifts for the end of day, summary reports will pinpoint your cash deposits and counting out your drawer will never be easier with Cafe Advantage Restaurant Management Software.

You may want to print this report at the end of each day.  The Point of Sale Reconciliation Report provides a detail or summary of the day’s transactions.  You can reconcile the drawer at the end of each shift or at the end of the day.  The Cafe Advantage Restaurant Management Software Reconciliation Report provides you with four different types of reports: Payment Summary, Invoice Detail, Pay Out Listing, Employee Payment Summary.  

While you are counting your money in your cash drawer in your restaurant management system, you can enter in the number of coins and bills in the spaces provided because the system will calculate the dollar amount for you based on the quantity you entered.

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