The document appears to be a daily cash reconciliation sheet for a store, listing the total starting cash amounts for various denominations of bills for the morning and closing counts, as well as totals for bills submitted to accounts and remaining in hand, with spaces for manager signatures.
The document appears to be a daily cash reconciliation sheet for a store, listing the total starting cash amounts for various denominations of bills for the morning and closing counts, as well as totals for bills submitted to accounts and remaining in hand, with spaces for manager signatures.
The document appears to be a daily cash reconciliation sheet for a store, listing the total starting cash amounts for various denominations of bills for the morning and closing counts, as well as totals for bills submitted to accounts and remaining in hand, with spaces for manager signatures.