Shift Close Outs
Post date: Sep 16, 2019 6:25:44 PM
Hey all,
When you are doing a shift close out make sure that you are choosing the correct day. Over the weekend there were a couple that were from previous days that through off the deposit and the tills. You can double check that you printed the correct day's transactions by looking at the date listed on the top left of the print out.
If you need to pay someone back for the vending machine eating their money you need to fill out a payout slip (located under the center computer on the East side. Says "Petty Cash" on it.) and include that in your close out at the end of the night counted as cash. For example, if your close out is for $20 and you had to refund someone $2 for the vending machine you would pull $18 in cash and the $2 "Petty Cash" payout slip to equal $20. Donna will reimburse your close out when she does the deposit the next business day.