230 likes | 529 Views
Cash Control Systems. Accounting Chapter 5. Money = cash in accounting Businesses have large volumes of cash transactions both paid out and received Large payments made/received by checks Small payments made/received by cash Recording errors occur with large volumes of transactions
E N D
Cash Control Systems Accounting Chapter 5
Money = cash in accounting • Businesses have large volumes of cash transactions • both paid out and received • Large payments made/received by checks • Small payments made/received by cash • Recording errors occur with large volumes of transactions • Control systems needed to manage/track money, reduce errors • Accounting records – ledgers and journals • Checking Account • Monthly bank statements CASH TRANSACTIONS
LESSON 5-1 Checking Accounts
Checking account: a bank account from which payments can be ordered by a depositor Check: a business form ordering a bank to pay cash from a bank account Deposit slip: prepared each time cash or checks are placed in a bank account CHECKING ACCOUNT CONTROL SYSTEM • All deposits are entered on the next unused check stub
RECEIVING PROCESS You receive an investment from owner for $5000 Step 1: You issue a receipt to the owner You keep the stub (tear along perforation) Receipt given to Kim receipt
THE PROCESS • Step 2: Enter deposit on the next unused check stub • Step 3: Calculate a new Subtotal
THE PROCESS • Step 4: Journalize the transaction in the journal • Step 5: Post it to the ledger of accounts
THE PROCESS • Step 6: Take money (checks & cash) to the bank • At the Bank: • Complete a Deposit slip: prepared each time cash or checks are placed in a bank account • Endorse (sign) the back of the checks being cashed • Bank issues a receipt for deposit • Receipt not entered in journal (done step 5)
Deposit Slips, Completing Check Stubs, Endorsements and Completing a Check, Recording a Voided Check STEP 7
PARTS OF A CHECK CheckNumber Maker’s Name and Address Date ABA Number Payee Numeric Amount WrittenAmount Memo Signature Routing Numbers Account Number
MAKE DEPOSITS • Deposit slip used to deposit or withdraw cash from account - Found in back of checkbook • Enter total cash, individual checks and sum for subtotal • Checks being cashed must be “endorsed” Dollars Cents TechKnow Consulting Phone: 701-746-5555 4567 West 17th Ave Grand Forks, ND 58201 Date: 20 Sign here for less cash in Teller’s presence
MAKE DEPOSITS • Went to the bank on October 1, 2010. Deposited • $400.00 check from ABA 24-174 • $850.00 check from ABA 12-510 • $1772.50 in cash (TOTAL = 3022.50) Dollars Cents TechKnow Consulting Phone: 701-746-5555 4567 West 17th Ave Grand Forks, ND 58201 Date: 20 Sign here for less cash in Teller’s presence 123003175 43’’452119’’
RECORD DEPOSIT ON CHECK STUB • Record Oct 1 deposit of $3022.50 NO. 2 $ Date 20 To For BAL BRO’T FOR’D ………… AMT DEPOSITIED .. SUBTOTAL ………………… OTHER SUBTOTAL…………………. AMT. THIS CHECK………….. BAL. CAR’D FOR’D………… NO. 2 24-317 1230 TechKnow Consulting Phone: 701-746-5555 4567 West 17th Ave Grand Forks, ND 58201 Pay to The Order of 4600 00 $ Dollars Memo 123003175 43’’452119’’
Endorsement: A signature or stamp on the back of a check transferring ownership – cashing a check • Three types of endorsements: • Blank endorsement - only of the endorser’s signature • Special endorsement - indicating a new owner of the check • Transfer check from you to someone else to cash • Restrictive endorsement - restricting further transfer of a check’s ownership • Limits use of check • Ex: for deposit only ENDORSEMENT:
Blank endorsement: • If lost with a blank endorsement, anyone can cash it • Only done while standing at the bank ready to deposit • Contains just a signature • Special Endorsement • Transfer to new owner - known as endorsement in full • Ex: Pay to the order of John Smith, Kim Parker. (check written on front to Kim, Kim signs it over to John) • Only the person named in the special endorsement can cash it (only John Smith) • Restrictive endorsement • Can only be used for what is stated on the back of the check • EX: For deposit only to the account of TechKnow Consulting ENDORSEMENT:
ENDORSEMENTS Blank Endorsement Kim signs this check over to Eleanor Johnson Special Endorsement Kim wants this for deposit only into TechKnowConsultings Account. Restrictive Endorsement
RECORD DEPOSIT ON CHECK STUB • Aug. 3, wrote Check NO 1 to Port City Supply Company for $275.00 for supplies • Complete check stub first for your records NO. 1 $ Date 20 To For BAL BRO’T FOR’D ………… AMT DEPOSITIED .. SUBTOTAL ………………… OTHER SUBTOTAL…………………. AMT. THIS CHECK………….. BAL. CAR’D FOR’D………… NO. 1 24-317 1230 TechKnow Consulting Phone: 701-746-5555 4567 West 17th Ave Grand Forks, ND 58201 Pay to The Order of $ Dollars • 00 00 • 00 • 5000 00 Memo 123003175 43’’452119’’
RECORD DEPOSIT ON CHECK STUB • Aug. 3, wrote Check NO 1 to Port City Supply Company for $275.00 for supplies. • Complete check stub for your records • Complete Check NO. 1 $ Date 20 To For BAL BRO’T FOR’D ………… AMT DEPOSITIED .. SUBTOTAL ………………… OTHER SUBTOTAL…………………. AMT. THIS CHECK………….. BAL. CAR’D FOR’D………… NO. 1 24-317 1230 TechKnow Consulting Phone: 701-746-5555 4567 West 17th Ave Grand Forks, ND 58201 Pay to The Order of 275.00 August 3 10 Port City Supply Company Supplies $ Dollars • 00 00 • 00 • 5000 00 Memo 8 1 10 123003175 43’’452119’’ • 00 • 275 00 • 4725 00
VOIDED CHECKS • Checks written in error/mistake must be tracked • Checks are voided and journalized • Void is written across both the check and the check stub • Check number entered as a transaction in the Journal NO. 1 $ Date 20 To For BAL BRO’T FOR’D ………… AMT DEPOSITIED .. SUBTOTAL ………………… OTHER SUBTOTAL…………………. AMT. THIS CHECK………….. BAL. CAR’D FOR’D………… NO. 1 24-317 1230 TechKnow Consulting Phone: 701-746-5555 4567 West 17th Ave Grand Forks, ND 58201 Pay to The Order of $ Dollars 275.00 August 3 10 Port City Supply Company Supplies Void Memo Void 123003175 43’’452119’’ • 00 00 • 00 • 5000 00 8 1 10 • 00 • 275 00 • 4725 00
RECORDING A VOIDED CHECK 1. Record the date. 2. Enter the word VOID in the Account Title column 3. Enter the check number for Doc NO. 4. Place a check mark in the Post. Ref. column 5. Place a dash in the Cash Credit column
Checking Account Facts • Postdated check: a check with a future date on it. Most banks will not accept postdated checks • Most checks are only good for 6 months • Checking Account Control Systems • Assist with ethical behaviors of employees • Code of Conduct: a statement that guides the ethical behavior of a company and its employees
TERMS REVIEW • code of conduct • checking account • endorsement • blank endorsement • special endorsement • restrictive endorsement • postdated check