This application was created to digitize cash-taking forms, in order to make the cash-taking process easier.
this application can be used by:
- Independent auditors, to carry out cash-taking procedures
- Cashier, to check cash balance every closed day
- Academic field (Lecturers & Students), provides views regarding the cash opname process
Features V 1.0
1. Input Cash Calculation
2. Input Use of temporary cash (cash receipts, etc.)
2. Save & Load Cash Calculations
3. Trace Back
4. Bank Reconciliation
5. Printout Excel Format
6. Printout PDF Format