www.amudietcoffee.com
Handbook

SOP AMU-046 · Part 3

Finance Daily Control

Daily reconciliation set and the orders-to-payments formula.

Every business day finance reconciles:

  • Website sales
  • Payment gateway
  • Bank receipts
  • COD where applicable
  • Refunds
  • Discounts
  • Courier charges
  • Cash transactions

Formula

Orders booked ≈ payments received + approved pending payments + documented exceptions.