This training was designed for the Manager or Store Owner that wants to Reconcile their Cash on a daily basis. The Cash Reconciliation & Inventory Training was designed for the Manager and/or Store Owner that is responsible for completing the station’s daily paperwork. More specifically, this training will focus on Step 4 of the Manager’s Daily Workflow to reconcile not only their cash sales, but also reviewing all sales grouped by method of payment . The Cash Reconciliation Training highlights important aspects of Step 4 in the Workflow such as, reviewing shifts, entering expenses, and balancing the total sales per shift by method of payment.