Payments will be posted the same business day by the accounts Receivable Clerk/Credit Manager upon receipt of
the Daily Cheque received register from the General Cashier. As each payment is posted, the number of the
account being posted to must be recorded on the Daily Cheque received register. Any documentation pertinent to
the payment to the payment will be attached to this Record and at the end of the day a Daily Cashier Audit must
agree to all postings.