Difference between revisions of "Talk:Beancounting"
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Revision as of 09:24, 17 January 2006
Other notes OLD STUFF
- 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.