The Petty Cash Balance sheet should be completed and turned into accounting monthly. If no petty cash has been used, submit the balance sheet at least twice a year (by December 1 and June 1).
Filing out the Balance Sheet Header:
- Admin Secretary = Petty Cash Administrator
- School/Dept = The school or department holding the petty cash box.
- Vendor # = 2### This is the number 2, and then your school code. Example: 2045 is Pioneer Peak.
- Invoice # = Leave Blank
- Date = Date that the balance sheet is being completed.
Filling out the Balance Sheet Details:
- List each account number to be used, including the SSASR Project if applicable. Requests may be grouped by account code, or they can be listed as individual line items matching each petty cash slip.
- Enter the amount to be paid from each account code.
Filling out the Balance Section (bottom):
- Balance on hand = Count the cash you have on hand, enter this amount.
- Petty Cash Received = Total petty cash balance on the Petty Cash Agreement From. This is the initial amount of your petty cash box setup.
- Amount Requested = Total from “Total Cash Disbursement Requested” above.
Balance On Hand + Amount Requested = Petty Cash Received.
Document must be signed by the Petty Cash Administrator and the Principal or supervisor of the site.
Send your Petty Cash Balance Sheet and all original receipts with their Request for petty cash form in district mail to the accounting department.
Checks can be picked up in accounting or can be sent in-district mail to the school.