Recon (Daily Business Reconcilliation) – Step 2 Register Rec Tab

The following guide explains Step 2 of the recon process – filling out the “Register Reg” tab. This information comes from the Register Logs printed at the close of business the previous day. 

  • 1. Begin at the “Register Rec” tab.
  • 2. Reference the “Register Report” cash total.
  • 2a. Locate “Register X Read Cash” and place the total for each register in the purple cell.
  • 3. Reference the “Register Report” credit card totals.
  • 3a. Locate the “Register X Read Credit Cards” row and place the total in the purple cell.
  • 3b.  Notice that the “Total Register X Reads” and the “Difference” rows zero out. If they do not, something is wrong. 
  • 4. Reference the “Register Report” total invoices and discounts.
  • 4a. Locate the “Discounts” and “Total Invoices” on the “Register Report” and place the totals in the purple cells.