Drawer Report Program - May 2011 (VBA/Excel) The company that this was developed for had many questionable things happening with drawer discrepancies and nightly deposits. It was not known if the nature of these issues came from fraud or confusion. To calculate the balance of the register, information was needed on cash counts, point of sale system reports, and reports generated from a website. This program was created to guide all employees through opening and closing the drawer. This program forced reports to be exported, and the drawer could not be finalized until it was balanced and all differences were explained. This program saved a lot of time, and made it easy to recreate reports from previous days. This program was fraud proof because of contradictory security checks. This was the opening cash screen of the program (with the main cash report in the background). Each morning, the opening employee would have to count each quantity of cash money, and mark their name. After the opening screen, a “how-to” screen would appear to show the employee how to enter the data into the point of sale system.