Create daily cash sales journal entries in accounting
Create daily cash sales journal entries in accounting
Your register reconciliation rows lack posted journal entries, which delays cash reconciliation and leaves deposits unverified. Receive accurate cash sales journals in accounting the same day.
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Overview
Stop spending time chasing register rows that never posted to your ledger. This flow posts cash sales journals from your register reconciliation and marks the original row with the journal reference, so you can close and reconcile the same day. It gives the owner and bookkeeper immediate visibility into posted deposits and over/shorts before weekly close.