Business owners track non-cash tips in one ledger for finance
Business owners track non-cash tips in one ledger for finance
Business owners lose non-cash tips after payments, creating reconciliation gaps and reporting errors. This workflow logs tips to a central spreadsheet after payment so finance can reconcile accurately.
Overview
Missed non-cash tips create reconciliation gaps and expose your books to reporting errors. This workflow captures every non-cash tip into a central spreadsheet, eliminating missed entries and giving finance a clean audit trail for reconciliation.
Notable Features
- Log non-cash tips automatically
- Attach customer details to entries
- Maintain a single tip ledger