Tabulation And Deposit
A reconciliation program designed to efficiently tabulate the end-of-day (or end-of-shift) cash register receipts comparing cash, checks and credit cards against the register readings. It provides detailed summaries in addition to printing a bank deposit slip.
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Features
- » Save time - A job that took 1.5 hours a day was reduced to about 20 minutes
- » Checks and charges are compared to the daily readings from the cash registers
- » Automatically calculates the extended amounts
- » Provides a report for the bookkeeper
- » Includes items such as net and gross sales by cash, check and charge, amount of taxes, etc.
- » Over/under amounts for each cash register
Supported Technologies
Windows 95/98/ME,
Windows XP/2000/NT
Microsoft Access
Visual Basic (VB)
Software
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Pricing
System
$49
contact@corpcon.com
416.848.8854
Economical - This program will pay for itself almost instantly.
Additional Product Information
Designed for retailers with more than one cash register, TAD allows you to quickly and easily reconcile the daily cash register take. Simply enter the readings from the cash register, count the quantity of each denomination and you're just about done. Click on a couple of buttons and a sales report is printed as well as a deposit slip.
This program allows you to accomplish daily reconciling many times faster than doing it by hand and significantly more easily than using a spreadsheet program. Do your month end in 5 minutes!!! A report is printed out that will provide your accountant with all the necessary information.