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Articles tagged “retail-pos”

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Retail and finance colleagues compare cash, card and gift-credit tenders with a separate net-settlement record.

NetSuite POS Integration and Daily Tender Reconciliation

Editorial archive: 2026

A NetSuite POS integration should let a finance user explain how a store's sales became cash in a drawer, receivables from a processor and deposits in a bank. Importing receipts is useful, but daily tender reconciliation requires a second …

Read article: NetSuite POS Integration and Daily Tender Reconciliation

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