CCS Point of Sale
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guides:general:general_balancing_procedures [2011/02/27 01:46] markphillips |
guides:general:general_balancing_procedures [2018/12/23 12:11] |
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- | ====== Daily Cash Deposits and Procedures ====== | ||
- | CCS has several types of procedures that you may implement in your business to keep track of income and expenses. | ||
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- | Cashier Drawer Balance Sheets - Tracks the individual cash drawers that are used, based on shifts.\\ | ||
- | Cash Drop - Allows cashiers to drop excess amounts of cash they have collected during the day.\\ | ||
- | Day Reporting - Reset the day to start a new business\\ | ||
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