If your daily system cash records do not match the physical cash count, contact us immediately. Our experts will help identify discrepancies and provide solutions to ensure accurate cash reconciliation.
A retail store's system shows ₹50,000 in cash sales for the day, but the physical cash in the register totals only ₹49,500. Despite recounting, the mismatch persists. The store manager contacts us for assistance. Our team investigates potential causes like recording errors, unrecorded transactions, or cash handling issues, providing a step-by-step resolution to reconcile the discrepancy.