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Daily Cash Register Reconciliation Sheet
Rs. 599.00
Stop wondering if the till is short until the numbers don't add up at month-end.
This Excel & Google Sheets tool reconciles your daily cash register in seconds: log your opening float, cash/card/UPI sales, and petty cash paid out, and it automatically calculates your expected closing cash and flags every day as Balanced, Short, or Over.
- Automatic expected-vs-actual cash variance for every day
- Balanced / Short / Over flags based on your own acceptable variance threshold
- A Period Summary showing total variance, days off, and sales split by payment method
No more end-of-month guesswork about which day the shortage started.
Delivered instantly as an Excel file. Prefer Google Sheets? A copy-link is included. Lifetime access, use for unlimited days/months.