Cash reconciliation now available for Managers Update Reservation software 27 August 2026
From now on, managers can perform cash reconciliation independently. Previously, this functionality was only accessible to administrators, as cash reconciliation was part of the full administration section. This meant that employees with the Manager role could not count the cash themselves, which is often precisely what is desired in daily practice.
We have therefore separated the cash reconciliation functionality and added it to the rights of the manager role. This allows these employees to reconcile the cash without gaining access to other administrative functionalities or settings. Additionally, you can now see directly in the cash reconciliation which user opened and closed it. This extra information gives you, as a park manager, better insight into who performed which actions, without having to ask for this separately.
This saves time and makes the division of tasks between administrators and managers much more practical.
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