Clarifi Financials & Cash is here! Now, you can easily track every monetary transaction from counting safes, to paying your handyman, to balancing your cash drawers.
Create various store funds that are unique to each of your stores and let the hassle of keeping everything balanced up to us. With Clarifi Financials & Cash, when your store-level managers take money out of the Petty Cash fund you created, the expected balance of the safe count is automatically updated to reflect that deduction. Additionally, Cash Reconciliation makes counting drawers and depositing cash to the bank a breeze.
As a corporate user, you will work with templates to create the various modules within Clarifi Financials & Cash. This is where you will specify everything the store-level users need to successfully run their shifts. You can use one template with the same configurations for all of your stores, or you can customize templates for different types of stores such as stores with drive-thrus and stores without.
Once everything is configured, as a store-level manager, you can simply navigate to the Cash module of your Side Navigation and start crunching your numbers.
For more information on how to use the various aspects of Clarifi Financials & Cash, click HERE.