Sam’s Nail Supply Inc.
Effective Date: [Insert Date]

To ensure accurate financial reporting and accountability, all managers and cashiers must reconcile and confirm the shift’s financial records at the end of each shift.

1. End-of-Shift Reconciliation

  • Managers and cashiers must verify cash, credit card, gift card, and all other payments against the POS system.

  • The total amount must match system records before closing the shift.

  • Any extra or missing funds must be recorded and explained.

2. Reporting Discrepancies

  • All discrepancies (overages or shortages) must be reported to the owner immediately—no exceptions.

  • A written report must be submitted detailing the issue.

3. Sign-Off Requirement

  • Both the cashier and manager must sign the close shift report to confirm that the money has been counted and is accurate.

  • Failure to obtain both signatures will be considered a policy violation.

4. Accountability & Consequences

  • Managers and employees are responsible for accuracy, honesty, and transparency in handling money.

  • Failure to report or any attempt to falsify records will lead to disciplinary action, including termination.

Acknowledgment