CCS Point of Sale

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guides:general:general_balancing_procedures [2011/02/27 02:41]
markphillips
guides:general:general_balancing_procedures [2018/12/23 12:11]
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-====== Daily Cash Deposits and Procedures ====== 
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-CCS has several types of procedures that you may implement in your business to keep track of income and expenses.\\ 
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-The policies you implement to maintain auditing control are very important to ensure you don't have overages, underages and when you do balance, you haven'​t missed errors by users.\\ 
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-Here are some example procedures for Overages/​Unders ​ 
-[[guides:​general:​balanceoverunder|Example Balance Over-Under Guide]] 
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-[[guides:​general:​balancesheets|Cashier Drawer Balance Sheets]] - Tracks the individual cash drawers that are used, based on shifts.\\ 
-[[guides:​general:​balancesheets#​Cash Drop Deposits|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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