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This SOP ensures accurate reconciliation of the cash box at the beginning and end of each shift, minimizing discrepancies and maintaining accountability for cash handling.
⏰ Step 1: Starting Shift Reconciliation
Access the Cash Box:
Unlock the cash box at the start of your shift.
Verify that the cash box log in Central panel is available and up to date.
Count the Cash:
Count the cash in the box, and register it doing a "Cierre de caja"

Check for any notes, receipts, or pending transactions left from the previous shift.
Record Opening Balance:
Log the starting balance in the Central Panel | Caja Chica system: Caja Chica.
Note any discrepancies from the previous shift and report them immediately to management via WhatsApp or the Incident Diary Book.
🔒 Step 2: Maintaining Cash Box During the Shift
Ensure that all cash received during your shift is logged in Central Panel | Income: Income Panel.
Keep the cash box locked when not actively handling transactions.
Double-count cash during transactions to avoid discrepancies.
✅ Step 3: Ending Shift Reconciliation
Reconcile Cash:
Count the cash box contents at the end of your shift, recording the total for each currency.
Compare the total with the Central Panel | Caja Chica system to ensure all income and movements are accounted for.
Log Closing Balance:
Record the closing balance in the Central Panel | Caja Chica, ensuring it matches the physical cash count.

Report Discrepancies:
Note any overages or shortages in the Incident Diary Book and inform management immediately.

If cash is missing, the responsible staff member may be required to reconcile the amount.
📋 Step 4: Shift Handover
Provide a summary of the cash box status, including:
Total cash balance by currency.
Pending transactions or notes.
Any reported discrepancies or incidents.
Hand over the cash box key securely to the incoming staff member.
Best Practices
Always double-count cash at the start and end of your shift to ensure accuracy.
Lock the cash box after each use to prevent unauthorized access.
Document every transaction immediately in the Income system to avoid omissions.
Reference Material
Cash Handling and Financial Transactions SOP
Caja Chica System Guide
Nov 24, 2024