At the end of the day in Counterpoint you will count/reconcile and POST your drawers.
Step 1 is the count of your cash drawer. Here you will enter an amount for each paycode on this drawer.
At the end of the day in Counterpoint you will count/reconcile and POST your drawers.
Step 1 is the count of your cash drawer. Here you will enter an amount for each paycode on this drawer.