Cash Management and Finance
In a fast moving ticketing environment, the recording and reconciliation of cash movements is a vital part of the manager's job. Clarity Cashbook makes the process of cashing up and balancing the books more straightforward and reliable.
Data on sales, lifts, floats and declarations is automatically fed through to a Cashbook form; the manager can then add petty cash expenditure, non-POS revenue such as vending machine takings, and banking details. Clarity Cashbook carries out the calculations and enforces the rules.
Through Clarity Central, head office designs the forms, defines expense types, and sets the conditions for managers to follow. Clarity Central is updated with all outlet data, giving head office an unequalled real time view of cash handling across all sites. Central also provides a seamless path through to head office accounting packages. By removing the need to key data into the system more than once, electronic posting cuts staff costs and reduces operator errors.
