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Never miss daily POS reconciliation for retail owners

Retail owners miss daily POS checks, causing cash variance and stock mismatches that threaten opening accuracy. Daily morning tasks alert the owner and ops so discrepancies are reviewed before opening.

Never miss daily POS reconciliation for retail owners

Overview

Missed POS checks create cash variance and inventory errors at opening. This flow creates and assigns a morning reconciliation task that notifies the owner and ops, ensuring discrepancies are surfaced and investigated before the store opens.

Notable Features

  • Create daily reconciliation tasks
  • Alert owner and operations staff
  • Attach RCAD and RCK links

Never miss daily POS reconciliation for retail owners