When the contents of the cash drawer have been reconciled, the cash receipts clerk prepares a cash reconciliation form and gives one copy to the sales clerk as a receipt for cash remitted and records cash received and cash short/over in the cash receipts journal. The clerk files the credit card vouchers and secures the cash in the safe for deposit in the bank at the end of the day.
END-OF-DAY PROCEDURES
At the end of the day, the cash receipts clerk prepares a three-part deposit slip for the total amount of the cash received. One copy is filed and the other two accompany the cash to the bank. Because cash is involved, armed guards are often used to escort the funds to the bank repository.
Finally, a batch program summarizes the sales and cash receipts journals, prepares a journal voucher, and posts to the general ledger accounts as follows: