Book Keeping Task/Monthly review
From PCSAR
(Difference between revisions)
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Specifically: | Specifically: | ||
- | * Get a copy of the latest | + | * Get a copy of the latest {{link|Members:Contact/Alberta Treasury Branch/Credit Card/Statements|Mastercard statement}} {{status|not yet|2017-09-01}} |
+ | * Get a copy of the latest [https://ca.qbo.intuit.com/app/reconcile?accountId=52&showHistory=true&displayReport=true Mastercard reconciliation] {{status|not yet|2017-09-01}} |
Revision as of 15:33, 2 April 2018
Every month, the books should be reviewed for assurance that they are being kept up to date and accurate. This is normally done by the person the Bookkeeper reports to: e.g. the Treasurer.
The Bookkeeper should do this in advanced to make sure everything is correct and ready before the review.
- Copies of each statement is examined and compared with the reconciliation report
- Are the ending dates the same?
- Are the ending amounts the same?
- Are there transactions that haven't cleared which should have?
Specifically:
- Get a copy of the latest Mastercard statement
(not yet for 2017-09-01)
- Get a copy of the latest Mastercard reconciliation
(not yet for 2017-09-01)