Treasurer's Procedures: Difference between revisions

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=Procedures for Maintaining Financial Records=
=Procedures for Maintaining Financial Records in Quickbooks=
[[Procedure for Creating New Annual Accounting Spreadsheet]]
==Creating and Deactivating Members==
 
*[[Add_New_Member_in_QBO]]
*To confirm that all transactions are entered and accounted for, you should add up the balance of cash in the cashbox, the balance in the paypal account, the balance in the google checkout account (usually zero, as google deposits regularly, unlike paypal, which maintains a balance), and the balance of the checking and savings account at Y12FCU.  This total should match the current running balance in the accounting system spreadsheet.
*[[Add_New_Recurring_Payment_to_Member]]
*If the numbers do not match, subtract to find the difference.  Often it will be a common amount, such as $48.25.  That value is the net result from one month's dues via paypal.  That example would indicate a missed paypal transaction.  Other values that do not correspond to a transaction are commonly tied to a data entry error.
*[[Deactivate_Member]]
*Additionally, there is sometimes a processing delay between balance and transactions listed.  For example, if the transaction for paying the electric bill is entered into the spreadsheet before the transaction enters Y12FCU's system, there will be a difference that will corrected soon.
==Managing and Updating Transactions==
*[[Add_a_One-time_Payment_to_a_Member]]
*[[Matching Member Payments in the PayPal import]]
*[[Reimbursing purchases to pay dues]]
*[[Gift Certificates]]


=Procedures for Collecting Dues=
=Procedures for Collecting Dues=
*[[Procedure for Collecting Cash Dues]]
*[[Procedure for Collecting Cash Dues]]
*[[Receive Payment Against Member Credit]]
=Procedures for Class Payments=
*[[Procedure for matching a class payment in PayPal - member ticket]]
*[[Procedure for matching a class payment in PayPal - non-member ticket]]
*[[Procedure for paying instructor]]
*[[Procedure for issuing a refund]]
=Procedures for Non-dues Collections=
*[[Procedure for Collections for Named Budgets]]


=Procedures for Donations=
=Procedures for Donations=
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=Procedures for Reporting Financial Performance=
=Procedures for Reporting Financial Performance=
=Procedures for Treasurer Transition=
*[[Procedure for Updating Authorized Users of the Bank Account]]
*[[Procedure for Updating Financial Account Passwords]]
*[[Procedure for Updating Authorized Users For Sam's Club Membership]]
=Shared Responsibilities=
*[[New Member To Do]] - This is the procedure to cover the steps required when a new member joins Knox Makers.
*[[When a Member Leaves]] - This is the procedure to cover the steps required when a member leaves Knox Makers.

Latest revision as of 01:48, 4 February 2023

Procedures for Maintaining Financial Records in Quickbooks

Creating and Deactivating Members

Managing and Updating Transactions

Procedures for Collecting Dues

Procedures for Class Payments

Procedures for Non-dues Collections

Procedures for Donations

Procedures for Annual IRS Notification

Procedures for Making Payments

Procedures for Reporting Financial Performance

Procedures for Treasurer Transition

Shared Responsibilities

  • New Member To Do - This is the procedure to cover the steps required when a new member joins Knox Makers.
  • When a Member Leaves - This is the procedure to cover the steps required when a member leaves Knox Makers.