of information in order to: Verify cash-up per cashier against their stated ‘overs/unders' interrogating breakdown of cash for services provided versus actual store sales Balance the credit card deposits into the daily General Ledger Post purchases made to the store on account in the Debtors journal. Post end of day
of information in order to: Verify cash-up per cashier against their stated ‘overs/unders' interrogating breakdown of cash for services provided versus actual store sales Balance the credit card deposits into the daily General Ledger Post purchases made to the store on account in the Debtors journal. Post end of day