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BOOTH SALE WORKSHEET Troop Number: Booth Location: Booth Date/Time: Total $$ Sold X ×4 (x×5 for CCC's)Ending Inventory (PKGs)Joy Project (Donations)Beginning Inventory (PKGs)TOTALCaramel Choc. Chips
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How to fill out booth sale reconciliation worksheet

01
Start by gathering all the necessary information, including the name of the event, the date of the event, and the total number of booths sold.
02
On the worksheet, create columns to record the booth number, the name of the booth owner, and the amount paid for the booth.
03
List all the booth numbers and their corresponding owners in the respective columns.
04
Enter the amount paid for each booth in the corresponding column.
05
Add up all the amounts paid to get the total revenue from booth sales.
06
Compare the total revenue with the expected revenue to ensure accuracy.
07
Make note of any discrepancies and investigate them further if needed.
08
Once all the information is filled out and verified, save the worksheet for future reference or reporting purposes.

Who needs booth sale reconciliation worksheet?

01
Anyone who is organizing an event with booth sales needs the booth sale reconciliation worksheet. This includes event coordinators, organizers, or accounting personnel responsible for tracking and reconciling booth sales.
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The booth sale reconciliation worksheet is a document used to reconcile the sales made at a booth with the actual amount of money collected.
Vendors or businesses that operate booths at events or markets are required to file booth sale reconciliation worksheets.
You must fill out the worksheet by recording the sales made at the booth, the amount of money collected, and any discrepancies between the two.
The purpose of the booth sale reconciliation worksheet is to ensure that all sales made at the booth are accurately reported and that the correct amount of money is collected.
The worksheet must include details of the sales, the amount collected, any discrepancies, and any other relevant information.
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