Deposits

DEPOSITS

Always follow your YMCA's specific procedures.

  1. Click “End of Shift”
  2. Set the date range to the days being deposited
  3. Reconcile each batch
    • Count the cash and checks 
    • Click the edit pencil
    • Compare the drawer total amount entered for each payment method to the amount in front of you
    • Correct the drawer total amount if needed
    • Record any variances by clicking “Over/Short” and entering the amount of the shortage or overage
    • Follow the procedure for VOID if needed for any payments 
    • Enter the deposit date
    • Enter the deposit reference using the format “123 MM/DD/YYYY” where 123 is the branch number
    • Check the “Reconciled” checkbox next to each payment type
  4. Print “End of Shift” detail report, if needed to help with step 3 above
    • Click “Reporting” > Sign In using your regular SGA credentials
    • In the SGA Master Reports folder, select the Transactions folder, then “End of Shift” report
    • Click “Customize”
    • Select Branch and edit the date range to reflect the days that will be deposited
    • Click “Display” 
    • Click “Reports” > “Print”
  5. Print “End of Shift by Deposit Reference” report
    • Follow steps 4a-4f above, but select the ““End of Shift by Deposit Reference” report
  6. Prepare bank deposit
  7. Take deposit to bank
  8. Send a copy of the “End of Shift by Deposit Reference” report with the bank deposit ticket to the Finance Office.