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| roles:accounting [2023/04/18 08:47] – [Tasks That Need Done Weekly] davek | roles:accounting [Unknown date] (current) – removed - external edit (Unknown date) 127.0.0.1 | ||
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| - | ======= Accounting ======= | ||
| - | ====Tasks That Need Done Daily==== | ||
| - | - Ordered List Item | ||
| - | ====Tasks That Need Done Weekly==== | ||
| - | - Bank Deposits | ||
| - | - From CM Acct#80 Walla Walla Checks to CM Acct#10 | ||
| - | - From CM Acct#30 Walla Walla Cash Box to CM Acct#10 | ||
| - | - From CM Acct#81 Pendleton Checks to CM Acct#10 | ||
| - | - From CM Acct#31 Pendleton Cash Box to CM Acct#10 | ||
| - | ====Tasks That Need Done Monthly==== | ||
| - | - First Monday of each month | ||
| - | - [[sop: | ||
| - | - [[sop: | ||
| - | - Reconcile the Bank Accounts | ||
| - | - A-1 Bills Account | ||
| - | - A-1 Payroll Account | ||
| - | - A-1 Emergency Fund Saving Account | ||
| - | - A-1 Disbursements Savings Account | ||
| - | - Bill out CEPM for Nates Labor Cost | ||
| - | ====To Close out Viewpoint for the last month==== | ||
| - | - Reconcile Each CM Account | ||
| - | - #80 Undeposited Checks | ||
| - | - #70 Credit Cards | ||
| - | - #60 E Checks | ||
| - | - #50 Disbursements | ||
| - | - #40 Retained Earnings/ | ||
| - | - #31 Pendleton Cash/Check Box | ||
| - | - #30 Cash Box | ||
| - | - #20 Payroll Account | ||
| - | - #10 Bills Account | ||
| - | - Run the IN Monthly Reconciliation | ||
| - | - Run EM Depreciation Processing | ||
| - | - Close out Sub Ledgers | ||
| - | - Close out General Ledger | ||
| - | - Send out Company Financials to the Shareholders | ||
| - | - | ||