De-assigning of Drawers, Balancing of Cash for each Drawer & Safe
Record variances for any Cash Over / Short is recorded and provides exception reports
Depositing of Borrower Checks in the Bank
Deposit of Check Cashers Checks in Bank
Standard processes to Clear Checks and Write-off loans
Printing of Daily Transaction Journal Report, with complete details of the transactions conducted at the store for each drawer, and each employee at the Admin office