Note: The program will reference Corporate Consultants. That is the former business name of Mark Lewis & Associates.
TAD allows you to quickly and easily reconcile the daily cash register take. Simply enter the readings from the cash register, count and enter the quantity of each denomination, list the checks (cheques), and the click a button to see if you balance. From there, you can generate a sales report printed as well as a deposit slip.
Tabulation And Deposit (TAD) is designed for retailers who typically have several stand-alone cash registers.
This program allows you to accomplish daily reconciling many times faster than doing it by hand and significantly more easily than using a spreadsheet program. Do your month end in 5 minutes!!! A report is printed out that will provide your accountant with all the necessary information.