Retail financial audit

Till and float reconciliation

Focused cash-point checks for stores that need drawer accuracy without a full inventory exercise.

Till and float reconciliation

What we check

Every active till drawer, the recorded float for each cash point, and the match between POS close figures and physical notes and coin. We note who opened the drawer, whether voids and no-sales were reviewed, and whether change bags were sealed as your policy requires.

Useful when

A store has rotating part-time cashiers, temporary pop-up tills during sales events, or a pattern of small unexplained shortages that never quite trigger a full investigation.

Deliverable

A short reconciliation sheet per till plus a one-page note on control habits observed during the visit.