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title: "Till Reconciliation (from the Administration checklist)"
canonical: "https://kb.myframeworks.com.au/space/PROSTIXV48DOC/31100425/Till%20Reconciliation%20(from%20the%20Administration%20checklist)"
format: markdown
---
The Till should be reconciled on a daily basis to ensure that the expected monies received over the counter reconcile to the monies in the till at the end of the trading day.  Refer to  Till Reconciliation - Point Of Sale  in the  Point Of Sale User Guide  for further information.  Refer also to the  Business Process Model (BPM) which provides the recommendations for industry best Practice (by role) for the 'Till Reconciliation' process .