Daily Cash Deposit Slips

Winho Trading Accounting Operations Handbook
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Accounts Administrator directly.
   Monthly reconciliation: each month, Julie transfers petty cash back into the business via cheque, covering
   everything spent that month.

Chep Pallet Management
WEEKLY

1. Weekly Check
Check the physical CHEP booklet at Tony's desk for new entries since the last check.

2. Update the System
Log any new entry into the CHEP online portal (chep.com), matching date, quantity, and docket/reference