How does end-of-day driver cash reconciliation work (expected vs collected vs remitted)?
At day's end a driver's cash is reconciled: the system compares how much should have been collected, how much was collected, and how much is remitted. The Drivers area's reconcile function works through these figures so the cash a driver hands in matches the COD cash jobs they completed. This turns cash handling — historically a leaky, manual process — into a checked, auditable routine…
At day's end a driver's cash is reconciled: the system compares how much should have been collected, how much was collected, and how much is remitted. The Drivers area's reconcile function works through these figures so the cash a driver hands in matches the COD cash jobs they completed. This turns cash handling — historically a leaky, manual process — into a checked, auditable routine where the expected and actual figures are compared every day.