Process and reconcile end-of-day tender types from point-of-sale and payment systems

Automate the process of checking different types of tender (cash, credit, debit, EBT, etc.) from point-of-sale (POS) sales and payment systems against the tender on hand to ensure there are no discrepancies. If discrepancies are detected, initiate an alert and even resolve the issue.By automating this process, retail businesses can save time and reduce the risk of errors. In addition, automation can help standardize the tender reconciliation process and ensure that it is consistently applied.

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