Full POS financial audit
A structured examination of sales, voids, refunds, comps, and deposits across your point-of-sale application for a defined period.
View engagementHuman-led financial audit work focused on how money is recorded, adjusted, and deposited from your point-of-sale applications.
We work with owners, controllers, and bookkeepers who need clarity on till reports—not a software subscription. Choose an engagement that matches the question you need answered.
A structured examination of sales, voids, refunds, comps, and deposits across your point-of-sale application for a defined period.
View engagementA focused review matching daily till closes to cash drops and card settlements when figures refuse to align.
View engagementReview who can void, refund, or discount tickets in your POS application and whether those rights match real floor roles.
View engagementA time-boxed investigation when a specific shortage, unexplained refund spike, or suspicious override appears in POS records.
View engagement