- Maintain financial records
- Maintain the checkbook
- Maintain a running
balance
- Handle petty cash
- Maintain the cash
receipts journal
- Classify & code
receipts
- List deposits
- Adjust the CRJ
- Close CRJ at the
end of the month
- Maintain the cash
disbursements journal
- Classify & code
disbursements
- List checks
- Adjust the CDJ
- Close CDJ at the
end of the month
- Prepare for the financial
audit
- Review internal control
procedures
- Review cash receipts
- Review cash
disbursements
- Verify cash
balances &
bank reconciliations