Revenue Reconciliation
The Revenue Reconciliation Package is a robust solution built on the VAL data platform, designed to streamline and automate the reconciliation process.
What is Revenue Reconciliation?This is a robust solution built on the VAL data platform, designed to streamline and automate the reconciliation process.
Non-Cash ReconciliationFor reconciling with 3P delivery platform, digital wallet, bank digital payment, etc.
Cash ReconciliationTrack outlet deposit of cash from sales and ensure deposits are made and managers are not holding on to money too long. Cash at Risk.
Introduction to Rev ReconThis is a video guide on what is the rev dashboard
How To Access Historical Sales Recon Results By Brand & Platform & Outlet with FeesThis is useful if you needed to view historical recon across Brand, Platform & Outlet by Months with fee
How To View and Find Offsetting Sales Differences Across PlatformsTo view offsetting sales difference for the same day across platforms
Accessing Historical Cash Recon Results by OutletProvide users with a quick guide on how to access historical cash reconciliation thru workspace
Accessing Grab, Food panda, Deliveroo views using queriesTo teach users how to access discounts, service recovery, in this example for Food Panda
How to upload files and run workflowsTeaches users how to upload files to ValDrive and run workflows
How to Download Receivable Report By DayThe report guide provides you a reference on how to retrieve the receivable report by order date with outlet & platform information
Tagging Untagged Cash TransactionThis is to teach users how to tag untagged transaction