STEPS IN CONDUCTING AN EOP & DEPOSIT

Similar documents
STEPS IN CONDUCTING AN EOP & DEPOSIT

Accounting Policies and Procedures

Law Library UH Law Center CASH HANDLING PROCEDURES 2017

NESS Accounting Policies and Procedures 2017

PROCESS STUDENT PAYMENTS

Cash Counting Sheet & Closing

The University of Montana Treasury Area (Treasury) maintains a cashiering function for the purpose of receiving monies due The University.

UNT Cash Control and Departmental Deposit Handbook

UH/Student Business Services Policies and Procedures

Chapter 13 Bank Reconciliations

SBAA Bank Reconciliation

Undergraduate Student Success Services University Testing Services. Cash Handling. Revised 7/06/17

Ch.6 Internal Control and Accounting for Cash

8.0 BANKING. 8.1 Overview. 8.2 Multiple Bank Accounts Funds Transfers Cancelling a Funds Transfer

How to do Month End Closing

Church Contribution Getting Started Guide 2017 Icon Systems Inc.

F ISCAL ACCOUNTABILITY PROCEDURES PROCEDURE 3.4 CASH HANDLING OVERVIEW ADMINISTRATIVE PROCEDURES. Adopted Date: 08/02/2014 Revised Date: 10/12/2017

Cash Management Balancing Cashier Tills

ALLEGANY CO-OP INSURANCE COMPANY. Agency Interface. Choice Connect User Guide

The SchoolMoney User Guide

Bursar s Office University Department Cash Receipting System Users. Updated 03/16/2018

How to get City Hall in Business

Finance Manager: Budgeting

Returns and Voids. Option 1 When using a Credit Card Keyboard With the Sales Invoice Screen appearing, to Access the Return Function

FUNDS HANDLING (Cash Receipts) GUIDELINES AND PROCEDURES

CA 370 CASH/CHECK HANDLING POLICY Page 1

F REQUENTLY A SKED Q UESTIONS

CR-370 CASH RECEIPTS

Cash Receipting and Check Handling Policy. California State University, Dominguez Hills Foundation

Directions to build Stochastics & EMA Crossover search

INITIAL BANK RECONCILIATION

Overview. It is basically a History report!

To make a sales invoice using card terminal follow the steps below. 1. Run HDPOS smart. Click on the Set-Up button on main screen.

Lesson 2: Banking and Credit Cards

IMPORTANT CHANGES TO BILLING, ONLINE PAYMENTS, AND REFUND PROCEDURES

COLLEGE STATION INDEPENDENT SCHOOL DISTRICT QUICK REFERENCE GUIDE FOR CASH HANDLING, DEPOSITS, AND PETTY CASH

INSURANCE COMPANY RECOVERY PAYMENT

Lesson 7. Receiving Payments & Making Deposits

Administrative Procedure CHAPTER 6 BUSINESS AND FINANCIAL SERVICES. AP District Cashiering, Collections, and Deposits

Thrift Shop Cash Register

Budget Training. Self Service Banner

DRAFT. Cash Control and Banking. SECTION 9.1 REVIEW QUESTIONS (page 345) CHAPTER 9

Cash Handling. Presented By: Jesse Barrios Assistant Bursar

At any time during the year, you may change your Beneficiary for life insurance or accidental death and dismemberment (AD&D).

Internal Controls: Theft Prevention Ashley Kennedy

Region IV RMIC. SMART HR Retiree and COBRA Insurance Setup & Processing

Go to the sign in page on the CC website:

Chapter 10 Change Funds

Vision Computer Programming Services, Inc nd S N, Suite A Safety Harbor, FL

Sage Business Cloud Accounting: Banking

Front Office. Users Guide. For Permanents

CASH HANDLING PROCEDURES FOR COUNTY OFFICES

CONTENTS. Pg. 2-In-Person payments and Credit or Debit Card Payments. Pg. 3-How do I make payment plan payments on my account (online)?

BudgetPak User Guide. Lewis & Clark College. October 2016

Chapter 17 School Cash Catalog

14. Roster Processing

Georgia Institute of Technology

Reference Document. Customer Refunds

COLLEGE OF SOUTHERN NEVADA FINANCE & FACILITIES DIVISION Cash and Payment Handling Operations Policies and Procedures

Dashboard. Dashboard Page

Bank Reconciliation Processing SYSTEM ADMINISTRATION AND PROCESSING GUIDE. Last revised: 8/19/10 12:22 PM

Creating and Monitoring Defined Contribution Plans in Advisor Workstation

All About the General Ledger

Beneficiary Maintenance

Dealer Manual. Express Carefree Maintenance Claim Net Remittance

How To Enter or Change My Direct Deposit Banking Information

UNITED I.S.D. TAX OFFICE OPERATIONS MANUAL

Setting up TaxSlayer Pro Online

SAS2000. Financial 2. Training Manual

A16 Documenting CECAS PRC 29 Request & Baseline SIF Data Training Script ( ) 1

The values within the DMS can be held as consolidated totals if required, as any individual items can be extracted from the Service Plan System.

Instructions for using IRS DATA Retrieval tool

The claims will appear on the list in order of Date Created. The search criteria at the top of the list will assist you in locating past claims.

Indiana Farmers Billing FAQs

BUSINESS POLICIES AND PROCEDURES MANUAL Revised 5-11 Controller s Office

Lesson 8 Vendors and Expenses Part 2

How to Manage Your Checking Account

ASU FINANCIAL SERVICES CASH HANDLING DESK MANUAL TABLE OF CONTENTS

Section 15 Direct Debit Payment

NAVIGATING YOUR PLAN ONLINE. A guide to our online service. Pensions

Cashier Handbook 2015

Sage Business Cloud Accounting: Payments and Allocations

THE UNIVERSITY OF ALABAMA IN HUNTSVILLE CASH HANDLING POLICY

Local Government Corporation. Resource NG Trustee Demo. Resource 2018 NextGen Trustee. Demo. NextGen Property Tax Search Views

Purchasing Card Approver View & Approve Transactions

BONDING BOND PREPARATION

BUDGET INSTRUCTIONS FOR FY 2017 PROPOSED BUDGET PREPARATION

NYIT Self-Service Application Instructions Benefits Open Enrollment AAUP, Faculty and Staff

myzou Cashiering Module 4

Support Unit Budget Requests

INTUIT PROA DVISOR PR O G RAM. QuickBooks Desktop Certification

Fiscal Closing Methods Summary

Credit Bureau Services, LLC Client Reference Manual

Special Funds Budget Preparation

Economis Student Manual (Grades 6-12)

QUICKBOOKS 2014 STUDENT GUIDE. Seminar 4(a) Receiving Payments & Making Deposits

Budget Estimator Tool & Budget Template

CENTRAL BUDGET REQUEST ENTRY. 1) Go to: Other Applications > Centrals>Financials>Budget Command Center

Entering Credit Card Charges

Self Service Payments

Transcription:

STEPS IN CONDUCTING AN EOP & DEPOSIT Remember that you cannot use the InTouch Terminal while you are in the middle of an EOP. Once you start the EOP, any incoming transactions or sales will need to wait until you have finished your EOP/Deposit. INTOUCH EOP Step 1: Gather Your Deposit Supplies. ~ 3 Gray Bank Bags ~ 3 Deposit Books ~ 3 Check Endorsement Stamps Step 2: Click on InTouch EOP. Step 3: All of the Non-reconciled Receipts will be listed. Click OK. Step 4: Verify that you have all the Checks listed and that your total is the same. Click OK. Step 5: View the Credit Cards Receipts screen to see if any Credit/Debit Card Transactions were incurred. Click OK.

Step 6: View the Other Tender Receipts screen. It is rare that you will ever have been approved to use the OTHER key as tender, so this screen will usually be zero. Click OK.. Step 7: Click OK at the Account Receipts screen, as this screen should always be zero. Step 8: At the Reconcile Cash Screen, you will input all the coins and currency that you ve taken in (do not add-in your Start-up Terminal Cash). Click OK to check your accuracy when complete. If the money balances, you will see a zero Overage/Shortage: You may hit: If you are Short monies for your deposit, you will see an amount in parenthesis: If you have more money (overage) than what was rung into InTouch, you will see: Any overages/shortages will require you to hit Cancel and recount your funds again:

If after the 2 nd attempt, you are still Over/Short, you will hit Commit to continue with the EOP, and Over/Short will be reported on the Revenue Summary. Step 9: After you Commit to your EOP, the Deposit Reference Screens will appear. Depending on which accounts you ve made transactions into, you may have to make deposit slips and deposit bags for up to 3 accounts: Student (General) Funds, District Funds and/or Auxiliary. Type the following three items in all the Deposit References: Gray Bag #, Terminal #, Date Step 10: Your Smart Deposit will be displayed. Print a copy if it does not already do so by clicking the icon at the top. KEEP IN MIND - - - IF YOU WANT TO USE THE SMART DEPOSIT, IT IS NOT ALWAYS CORRECT! VERIFY THESE NUMBERS WITH YOUR REVENUE SUMMARY by ACCOUNT BEFORE COMPLETING YOUR DEPOSIT. Step 11: Click Done. The EOP portion of InTouch is complete. You may start making transactions in the Terminal, for students and facility; they will begin accumulating for the next EOP!

FILL THE GRAY DEPOSIT BAGS When filling the gray deposit bags, please do not use paperclips or paper straps on the currency. Likewise with the coin, please place coin loosely in the bottom of the gray bag. Please do not use: If you have a lot of coin (more than $50 worth), you ll want to Double Bag! The bags are strong, but they will break if they get too heavy. Step 1: Use the Revenue Summary by Account Report to determine how much is deposited in each bag. Once you know the deposit amount, it does NOT matter what checks or cash go in each bag, as long as the total deposit is correct.

Step 2: If you have checks, use the Correct Fund Endorsement Stamp on the back of each. Step 3: Fill the DISTRICT funds Gray Bag first, as this one will not allow for overages/shortages. Place the checks and cash in the bag. Complete the District Deposit Slip. Here s a Sample:

Step 4: After completing the deposit slips, place the white and yellow copy in the appropriate fund s bag. Step 5: Seal the gray bank bags by pulling the clear adhesive strip away from the blue tape. Try to remove as much air as possible before sealing-down the tamperresistant blue tape sealant. Remove and keep the gray tab from the top with your reports. Step 6: Junior High Bookstores will take their deposit bags to the Cafeteria to be signed-over to the Cafeteria Manager. High School Bookstores will keep in the Bookstore until the next bank courier pick-up. INTOUCH REPORTS Step 1: Log into InTouch Manager. Step 2: Click on the Revenue Summary by Account to run reports for today s EOP. Step 3: Always Check Terminal #1 (as this is always the Bookstore): It will default to today s reconciled date. Fund = All Revenue Collected = At site, for all sites Refund Receipts = Exclude Post-EOP Voided Items = Include NSF Items = Exclude Journal Entries = Exclude

Step 4: Print two (2) copies of this report. One for Student Activities & One for Your Records. Step 5: If this is also the last day of the week, you will need to print another Revenue Summary by Account for the week. Repeat steps above, except put Monday Friday s date in the Reconciled Date Range. Print two (2) copies of this report. One for Student Activities & One for Your Records. Step 5: Click on the Tender Report to get your deposit broken down into the different types of tender: Cash / Check / Credit / Account / Other Make sure you are on Terminal #1: Use today s reconciled date. Post-EOP Voided Items = Exclude Step 6: Print two (2) copies of this report. One for Student Activities & One for Your Records. Step 7: If the Tender Report displays an amount in the Other column, then this amount will need to be put on the Tape Adjustment line to be subtracted from the Grand Total Amount. Step 8: If the Tender Report displays an amount in the Credit column, then there were credit or debit card sales that will need to be accounted for.

Step 9: The Credit/Debit Card sales will need to be put on the Cash Register Audit Form. In order to know how much to put in each fund, pull up a Revenue By Tender Report. Step 10: Make sure you are on Terminal #1: Use Today s Reconciled Date Range Fund: Uncheck the All box and Display the 5 then 6 then 8 Revenues Collected = At Site, for All Sites Refund Receipts = Exclude Post-EOP Voided Items = Include NSF Items = Exclude Journal Entries = Exclude Tender Type = Credit If there weren t any credit cards deposited for that fund, nothing will display. If there were credit cards for that funds they will list the total:

Step 11: Complete the Cash Register Audit Form. Send the following items to Student Activities: 1 Copy of the Revenue Summary by Account for each day an EOP was performed. 1 Copy of the Tender Report for each day an EOP was performed. 1 Copy of the Revenue Summary by Account for the whole week Cash Register Audit Form (3 Parts White, Yellow & Pink) Keep & File the following items at your school for future audit purposes: 1 Copy of the Revenue Summary by Account for each day an EOP was performed. 1 Copy of the Tender Report for each day an EOP was performed. 1 Copy of the Revenue Summary by Account for the whole week Cash Register Audit Form (Last Part Goldenrod Color) Smart Deposit Gray Deposit Bag Tabs