Version update scheduled for release 23/04/24
In this release, we're delighted to announce the addition of the Cash Reconciliation Report to our Reporting Suite.
This report serves as a vital tool for effortlessly reconciling your outlet’s weekly cash transfers, sales/purchases, banking activities, and cash in hand. It enables you to quickly identify any discrepancies, ensuring financial accuracy and visibility.
The most noticeable improvement comes in performance. While previous iterations caused frustrating delays, this updated version loads instantly, boosting efficiency and eliminating any previous speed issues.