Daily Ops: end-of-night reconcile (full)

sop #daily-ops

Close-out flow: 1) Toast cash report run. 2) Cash bank counted out to opening par. 3) Excess cash = sales cash; counted twice. 4) Comp report run, reviewed for anomalies. 5) Tip pool calculated and distributed per policy. 6) Deposit envelope sealed (see role-mod-deposit-handling). 7) Closing log signed. 8) MOD signs off.