Monthly Procedures - Manual
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Jump to navigationJump to search- Print the monthly transaction report by following this link: MTD Transaction Report - Manual
- Verify the beginning balances by comparing the ending balances of the previous month to the beginning balances of the current month.
- Prepare Bank Reconciliation Report by following this link: Bank Reconciliation - Manual
- Continue working on the Bank Reconciliation till the reconciliation difference is zero. If changes were made to any transaction or new transactions were posted, re-print the MTD transaction Report.
- Print the year-to-date transaction report by following this link: YTD Transaction Report - Manual
- Print detailed monthly transaction report. This report may or may not be required by your district. Follow the instructions found below for printing this report.
- Print Deposit Register by following this link: Deposit Receipt Report - Manual
- Print Check Register by following this link: Check Register Report - Manual
- Print Adjustments report by following this link: Adjustment Report - Manual
- Complete End-of-Month Closeout by following this link: Monthly Close Out - Manual
- Submit documents to district office.
- File copies of all documents at the school.