Salesman will then prepare “Summary of Remittances & Documents” indicating invoice numbers and amounts. The “Summary of Remittances & Documents” is pre-numbered. The “Summary of Remittances & Documents”, “Receipts” and bank “Deposit Slip” are then submitted to Junior Accountant for verification and accounting posting and reviews date of Summary of Remittances & Documents against date of cheques on “Deposit Slip” to ensure collections are bank-in and submitted on a timely basis.