Update cash-up records with calculated totals and flags
Update cash-up records with calculated totals and flags
Your cash-up rows lack calculated totals and status, forcing manual math and delaying reconciliation. It applies totals and flags so accounting and store managers can close books same day.
Overview
Missing totals and unclear reconciliation status make end-of-day close slow and error-prone; this flow computes totals, marks rows for review, and applies EFT flags automatically. That means your accounting staff and store managers see finalized figures and exceptions ready for review within minutes, enabling same-day close.