Cashier Assistant in Excel

This table was created in Microsoft Excel and is intended to simplify and improve the work of an accountant-cashier at the CASS office using cash registers for small volumes. In the table, you can enter information about income and expenses, and the cash balance will be automatically calculated, which will allow you to always be aware of the current amount in the cash register. After all, when receiving revenue through a cash register, a Z-report can be carried out only at the end of the shift. If you are afraid of exceeding the cash register limit, you can set the appropriate limits, and the balance in the cash register will be highlighted first in orange and then in red, warning you that the limit is about to be exceeded.

To account for receipts by revenue, the table has a separate column where you need to put pluses opposite the receipts. This amount will be calculated separately from the total amount of receipts. At the end of the day, you can print out a Z-report and compare it to this amount to check that you haven't overdrawn. The table also has a convenient function for calculating possible denomination options when receiving revenue and calculating the amount of change. Thanks to this organization of work with cash at the cash desk, it is possible to reconcile accounting data.

After completing all operations in the program, you should check the balance in the table with the program data. If everything is correct, you can click the “Reset” button, and the program will delete all receipts and expenses, and the balance at the end of the day will be transferred to the beginning. This way, the table will be ready for use on the next day.

"Cashier Assistant in Xcel" is a convenient digital product designed to help an accountant-cashier keep records at the CASSA site using a cash register. This product is an excellent assistant for recording small amounts of receipts and expenses at the cash register.

The product is designed in the form of a beautifully designed table in Microsoft Excel, which allows you to easily and quickly keep track of all transactions with the cash register. In the table, you can enter information about income and expenses, and the cash balance will be automatically calculated, which will allow you to always be aware of the current amount in the cash register.

Also in the "Cashier Assistant in ? Xel" there is a convenient function for calculating possible denomination options when accepting revenue and calculating the amount of change. Thanks to this organization of work with cash at the cash desk, it is possible to reconcile accounting data.

If you are afraid of exceeding the cash register limit, you can set the appropriate limits, and the balance in the cash register will be highlighted first in orange and then in red, warning you that the limit is about to be exceeded.

After completing all operations in the program, you should check the balance in the table with the program data. If everything is correct, you can click the “Reset” button, and the program will delete all receipts and expenses, and the balance at the end of the day will be transferred to the beginning. Thus, “Cashier Assistant in ?XEL” is ready for work on a new day.

By purchasing "Cashier Assistant in ?Xel", you will receive a convenient and reliable tool for professional accounting at your CASS office.

Cashier Assistant in Excel is a convenient spreadsheet designed to help the cashier accountant record receipts and expenses in the cash register area using cash registers for small volumes. You can enter information about income and expenses into the table, and the balance in the cash register will be automatically calculated, which will allow you to always be aware of the current amount of cash in the cash register. If you set the appropriate limits, the balance in the cash register will be highlighted first in orange and then in red, warning you that the limit will soon be exceeded.

The table also has a function for calculating possible denomination options when receiving revenue and calculating the amount of change. This will allow you to quickly and conveniently calculate change and verify accounting data. At the end of the day, you can print out the Z-report and compare it with the total in the table to check that you haven't overdrawn.

After completing all operations in the program, you should check the balance in the table with the program data. If everything is correct, you can click the “Reset” button, and the program will delete all receipts and expenses, and the balance at the end of the day will be transferred to the beginning. This way, the table will be ready for use on the next day.

"Cashier Assistant in Excel" is a convenient and reliable tool for professional accounting at your cash desk. It is a beautifully designed table in Microsoft Excel, which allows you to easily and quickly keep track of all cash transactions.


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Introducing Cashier Assistant in Excel! This is a table created specifically to simplify and improve the work of an accountant-cashier. It is ideal for maintaining a cash register area using a cash register (for small volumes).

You can enter income and expenses into the table, and the cash register balance will be automatically calculated, which will allow you to always know how much money is currently in the cash register. In addition, you can set the necessary limits and the balance in the cash register will be highlighted first in orange and then in red, warning you that the limit will soon be reached.

Also in the table it is possible to keep track of receipts by revenue by placing pluses in the appropriate column. The amount of revenue receipts will be calculated separately from the total amount of receipts. At the end of the day, you can print a Z-report and compare it with the total in the table to ensure that all transactions were carried out correctly.

For the convenience of recalculating cash at the cash register and reconciling it with accounting data, the table already provides possible options for denominations that the client can give you, and the program will tell you how much change to give.

After completing all operations in the program, you can compare the balance in the table with the data in the program. If everything is correct, just click the “Reset” button and the program will delete all receipts and expenses, and the balance at the end of the day will be transferred to the beginning. The table will be ready for use again on the next day.

Using a cashier assistant in Excel will simplify and speed up the work of an accountant-cashier, as well as avoid mistakes when conducting cash transactions.


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  1. A great helper for simplifying your work in the cash register program!
  2. Using this digital product I have significantly speeded up my checkout process.
  3. The program is easy to use and allows you to quickly and accurately calculate purchase amounts.
  4. Thanks to this assistant, the number of errors in calculations at the cash register has decreased.
  5. Saved a lot of time on counting and processing cash documents.
  6. The program allows you to quickly and easily create sales and revenue reports.
  7. An excellent choice for those who want to make their work at the checkout more efficient and convenient.



Peculiarities:




A very convenient and practical digital product for cashiers.

With the help of this assistant in Excel, you can significantly speed up the work at the checkout.

An excellent program that helps to avoid mistakes when calculating change.

Modern and intuitive interface that is easy to learn.

The program helps to reduce the time spent on training new cashiers.

It is very convenient to use when working with a large volume of goods.

Thanks to this assistant in Excel, you can reduce the number of errors when calculating the purchase amount.

Reliable and stable software that does not freeze or slow down.

The program greatly simplifies the work of cashiers, especially when working with a large flow of customers.

Excellent value for money, which makes this digital product affordable for many companies.

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