Sales reconciliation for lease department stores

SALES RECONCILIATION FOR LEASE DEPARTMENT STORES

22/10/24, 23:31

SALES RECONCILIATION FOR LEASE DEPARTMENT STORES

SALES RECONCILIATION FOR LEASE DEPARTMENT STORES Fabio Schiavello USER

How to perform the Daily Sales & Cash Reconciliation in Lease Department Stores Key Points: There should be no variance (any variance should be fully explained and justified in the template). Every month, the template should be signed by the Store Manager after review, and the figures in the template should be supported by the screenshot of the Department Store’s POS data.​

➕ Clear instructions for KOREA Lease Department Stores.

Learn more about formalization using 👉🏻 the E-Closing Tool

https://fendi.sharepoint.com/sites/CICERO/SitePages/Daily-Reconciliation---Cash-%26-Sales-v2.aspx#formalization-of-daily-sales-cash-reconciliation

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Source: BOUTIQUE/CASH MANAGEMENT/SALES RECONCILIATION FOR LEASE DEPARTMENT STORES.pdf

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