Reconciling Cash Drawers with End-of-Day Reports

See how to use end-of-day reports to reconcile the cash drawer. Note: When filling out this report you'll enter the quantity of bills for each of the dollar amounts. You'll put in the total sum of all change for the coins field. You want to have a $0 difference between your transactions and the cash drawer. A positive difference is an overage and a negative difference indicates the user is short.

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