Keep store ops and finance reconciled with RF5 receipts
Keep store ops and finance reconciled with RF5 receipts
Store ops miss RF5 cash lines in POS, creating gaps in sales, quantity and weight reconciliation. Creates a board item per RF5 cash line so ops and finance share aligned reconciliation records.
Overview
Missed RF5 cash lines create reconciliation gaps and risk inaccurate reporting at month end. This workflow posts every RF5 cash line to your operations board and notifies finance, creating an auditable trail that eliminates missed receipt gaps and streamlines reconciliation.
Notable Features
- Create board item for RF5 lines
- Calculate weight and total sales
- Notify ops and finance instantly