Create cash bottle sales entries for store ledger
Create cash bottle sales entries for store ledger
Your POS receipts with empty-bottle line items aren't tracked, making cash reconciliation error-prone. This gives accounting clerks line-level cash entries to reconcile same day.
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Overview
Untracked cash bottle line items create reconciliation gaps that slow daily closes. This workflow captures each qualifying receipt line and writes line-level entries to your ledger board, so accounting clerks get complete records to reconcile same day. Implementing it reduces manual lookup and speeds end-of-day balancing.