FTx Cloud POS | Reconciliation
Learn how to open and close a shift within the POS. Track Cash, Credit/Debit, and other tender totals. Review daily sales and drawer activity. Manage Pay-Ins, Pay-Outs, and Safe Drops. Generate End-Of-Day (EOD) reports for easy balancing. Quickly spot and resolve register discrepancies as they happen.
- 5 Sections
- 9 Lessons
- 1 Quiz
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- Shift and Daily Reconciliation5
- Lottery Reconciliation2
- Be A Part Of The Conversation!1
- Leave A Review!1
- Reconciliation Course Survey1