Difference between revisions of "Talk:Beancounting"

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Revision as of 09:24, 17 January 2006

Other notes OLD STUFF

  1. Shortly before the end of the shift, get the data corrections from each till and make the corrections in the database, so that the income report will be accurate.
    • Record the transfers on the cashbalance spreadsheet.
    • When finished, print out a copy of the cashbalance spreadsheet to record what the tills and cash box looked like after the transfer.