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Accounting Fundamentals #1-org (Copy 1)
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Consider these two scenarios. Which one do you think will result in less errors?

1)Each time the petty cash custodian disburses cash to an employee, the custodian files the voucher in a binder. At the end of the month, the custodian logs all the transactions in Excel based on the vouchers and reconciles the balance

2)Each time the custodian disburses cash to an employee, the custodian files the voucher in a binder and logs the transaction in Excel. If excess cash is returned, the custodian will adjust the transaction in Excel.


Qs: Why #2? What kind of errors do you think will occur?


 

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