4. Till Reconciliation

Top  Previous  Next

 

Allows the Parts Manager to print a Till Reconciliation for a given day; gives an analysis of the day's trading in the department and splits the till receipts into Cash, Cheque, Credit Cards and Credit (Account) Sales.

 

 

The default date is always today, but a Till Reconciliation can be run for any previous trading date.

 

ManagersToolkit6