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Cash and payments / Cash-first workflows

Where does “Bank deposit preparation” fit in Simca, thinking about deposit lost in transit?

Planned: listed in the catalog, not built C0059

Preparing the cash that will be taken to a bank, with a slip that matches the books, closes the loop between the safe and the account. Plan for: deposit lost in transit; bank counts differently; deposit split across days. In the catalog it is a plan and nothing is built.

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The tag above says how real the answer is. Answers describe the plan in the repository and design documents. No app is released. Where an answer touches tax or law, treat it as a theme to verify with a qualified local adviser.

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