Cash Reconciliation

The Cash Reconciliation report displays the amounts of cash, checks, credit cards, debit cards, and other forms of payment received in a given day. The report also shows the amounts of cash, checks, credit cards, debit cards, and other payments that were in the cash drawers at the end of the day and the differences between the recorded and the actual amounts. Use this report to look for patterns in cash shortages and overages.

To create the Cash Reconciliation report, set the fee slip date parameters.