6. Manual Cheques
There are no manual cheques. Any urgent cheques are processed in the same ways as described above
and processed as a batch of one.
7. Creditors’ Reconciliation
A monthly reconciliation is done of Creditors records to the GL by Daphne. The creditor’s
reconciliation is put into Shaggy’s monthly balancing folder but is not reviewed.
8. Voided / Cancelled Cheques
Voided and cancelled cheques are marked cancelled and kept on file.