Sequoia Retail Systems - Register Reconciliation
Register Reconciliation

Register Reconciliation

Balancing register counts is imperative for preventing fraud and accounting errors. Our register reconciliation module automatically verifies cash drawer counts for balance. This module also:
  • Allows the blind balancing of registers
  • Pulls totals from the register
  • Asks cashier to count each media type
  • Alerts the cashier if medium does not balance
  • Reports over/short by media types and posts to accounting
  • Reconciles all media types or just cash for easier and quicker operation.
  • Reconciles each cashier as well as each individual register.
  • Allows reconciliation to be performed the next day or several days in the future, allowing for weekend balancing to be done on Monday.