Bakery owners: keep daily cash drops reconciled and auditable
Bakery owners: keep daily cash drops reconciled and auditable
Business owners miss daily cash drop entries during busy shifts, causing unrecorded discrepancies that hinder nightly reconciliation. Log entries centrally so managers reconcile before shift close.
Overview
Unrecorded cash drops create nightly reconciliation headaches and risk undiscovered shortages for bakery owners. This workflow captures every submission into a central ledger and alerts managers when totals diverge, enabling faster reconciliations and a clear audit trail.
Notable Features
- Record cash drops to central log
- Flag mismatches for manager review
- Attach employee and shift details