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Staff can create a Cash Receipt through Kuali Financial Systems (KFS). The Cash Receipt (CR) eDoc is used to record cash and checks for subsequent deposit deposits into bank accounts by Cash Operations.

  • The CR eDoc routes to Cash Operations staff for approval after the deposit has been is brought to the Cash Operations Office.
  • You should submit Submit a CR eDoc on each day that you receive payment, regardless of whether funds are brought to Cash Operations. 
  • If the deposit is less than $500, funds must be delivered to Cash Operations within 7 calendar days.
  • Once the total of cash/check received equals or exceeds $500, funds must be delivered to Cash Operations by the end of the following business day.

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To create a Cash Receipt, 

  1. Navigate to “Accounts Accounts Receivable & Cash”Cash.
  2. Click on Cash Receipt.
    Cash Receipt linkImage Removed
  3. Enter the Description using the following format: Department, Date, and $ Amount.
    Description fieldImage RemovedDescription fieldImage Added
  4. Use the drop-down menu to select either Individual Checks/Batches or Total Only.
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    1. Use “Individual Individual Checks/Batches” Batches to list checks individually in the eDoc.
    2. For a large number of checks, use “Total Only” Total Only to enter the total amount of checks in the box, and attach the Excel spreadsheet to the Notes and Attachments tab. The Excel file should include the check #number, date, and amount. 

      Note

      If ‘Total Only’ Total Only is selected and a spreadsheet is not attached, the eDoc may not get approval.  All checks must have the date received stamped/written on the back.

      Currency and Coin DetailImage RemovedCurrency and Coin DetailImage Added


    3. If you selected ‘Individual Individual Checks/Batches’ Batches above, enter the individual check details, including the following: check number, the date on the check, a description (i.e., the name on the check), and the check amount.
    4. Click the ADD button after entering each check. 
      ADD buttonImage RemovedADD buttonImage Added

  5. Enter Accounting Lines using the following format: Account Number, Object Code, and Amount.
    Accounting LinesImage Modified

    Info

    If you are using the expense object code, the amount you enter must be negative.


    1. Click the the plus (green plus signImage Modified) button after entering each Accounting Line.
    2. Ensure that the “Reconciliation Total” Reconciliation Total and the “Accounting Accounting Line(s) Total” Total are equal to one another.
      Reconciliation Total field and Accounting Line(s) Total field Image Removed
  6. Attach the Backup Documentation for the deposit in Notes and Attachments. Backup includes but is not limited to:
    • Register receipts,
    • Handwritten receipts,
    • Invoices,
    • Payment logs,Etc.Notes and attachmentsImage Removed
  7. Click Submit when done . Doing so will to route the CR eDoc to Cash Operations for approval. After you submit the eDoc, the “Document was successfully submitted” a confirmation message will display.
    Document was successfully submitted
  8. Click on the pdf PDF icon next to " Print Cash Receipt Coversheet " to retain a copy for your records. You do not need to print a copy for Cash Operations.
    1. All deposits brought to Cash Operations must be delivered in a sealed fraud-stopper bag.   You can obtain these bags from Cash Operations, or you may use your own , as long as they are tamper-proof.
      tamper-proof sealed fraud-stopper bag
      tamper-proof sealed fraud-stopper bagImage Removed
    2. Two copies of the Cash Receipt Form (, which can be found on the Cash Operations website) , should be filled out and left outside the bag. This receipt is your proof of delivery to Cash Operations and should be retained by your department as part of your backup documentation for that day’s deposit.
      Cash Receipt form

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