Marketing ops: capture store end-of-day cash in sheet
Marketing ops: capture store end-of-day cash in sheet
Marketing ops coordinators submit end-of-day cash counts that get lost or misformatted, creating audit gaps. Standardized rows populate a master spreadsheet, so finance and managers have reliable daily records for reconciliation and auditing.
Overview
Marketing ops teams risk reconciliation gaps and audit exposure when daily cash counts are lost or misformatted. This workflow centralizes every end-of-day submission into a standardized master spreadsheet, eliminating missing entries and giving finance and managers reliable records for reconciliation and auditing.
Notable Features
- Append standardized rows to sheet
- Validate and format cash amounts
- Notify finance on submission errors