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dear friends this is sriram today again im here to discuss about some mistakes that you people are making while passing deposit entries in pos actually while doing reconciliation at head office level of your deposit entries we have to face lot of things a lot of times we are unable to find out which amount is pertained to which store or which amount you people are making entry in pos and that amounts is where in our statement that is a big problem for us to find out that correct amount and correct transaction so discuss more thing about this today i am here and i will discuss you and i will also show you where people are making mistakes and how you can correct this you can correct it as one mistake it will make us more easy to do my work so if individually you can correct your mistakes our work will become easy for us and head office there are a lot of things to do in the month end and in which this reconciliation is also one of the part of our work so so now first of all first of al