Increase accountability and reduce theft by tracking the flow of cash from the customer all the way to the bank.Request a Demo
Track the flow of cash from the customer, to the register, to the safe, and to the bank.
Record float amounts at the start and end of each shift using a mobile phone or tablet.
Automatically reconcile cash amounts in each register at the end of the night and require digital sign off from a manager.
View the over/short status of each location with the ability to drill-down to see which cashiers and managers were responsible.
Automatically notify managers when protocols are not followed or when cash vs. sales variances cross a set threshold.
Track each cash drop, pay-in, pay-out, and the employee or manager who signed off on it.
Make auditing simpler, faster, and more accurate with access to incremental information like user, time, bag number, bag amount, deposit slip, and any overage or shortage.
SynergySuite connects directly to your existing point-of-sale system to automatically include gross sales, comps, voids and promos into cash sheets.
SynergySuite directly integrates with your accounting system to automatically record daily journal entries based on cash received.
Banking integration automatically reconciles the period-end bank account statement with internal records.
Access to real-time reporting on drawer counts, opening floats, safe counts, cash sheets, deposits slips, and any associated variances – at a check, register, employee, or store level.
View detailed reports of transactions including any comps, voids, discounts, and coupons.
Monitor how frequent each location is performing proper safe counts and float counts.
Modern interface designed for mobile devices that’s intuitive and easy-to-use.
Cloud-based platform accessible from the web with native apps for iOS and Android.
Seamlessly integrates with your existing POS, accounting, payroll, and vendor systems.
Completely customizable – each user has the appropriate level of access based on job function.