At each store, Sales Clerks receive the item to be purchased along with cash or a LCC from the customer. Sales clerks prepare LCC charge slips and then.

Slides:



Advertisements
Similar presentations
 Invoices/Purchase Orders/Order Forms (copies of forms)  Sales Journal/Accounts Receivable Record (Excel spreadsheets)  Purchases (copies of forms)
Advertisements

General Ledger Client Write-Up Our General Ledger Write-Up system is a sophisticated program, designed specifically for accounting ad bookkeeping professionals.
BA 427 – Assurance and Attestation Services Lecture 4 Internal Controls: Sales and Receivables.
Systems Flowcharts Please use speaker notes for additional information!
Documenting Information Systems
Chapter 11 THE REVENUE CYCLE. Introduction Revenue cycle: 1. Respond to customer inquiries 2. Develop agreements with customers to provide goods and services.
Data Model Examples: DFD’s and System Flowcharts
Journalizing Sales and Cash Receipts Using Special Journals
3.4 Billing Systems. Overview Demonstrate and apply knowledge and understanding of how utility bills are produced from a batch processing system employing.
Documentation Why do auditors pay such close attention to system documentation? l It helps to understand the system - how it works. l The auditor’s documentation.
The Acquisition/Payment Process
Chapter 6- Source Documents. Source Document (p. 165)  Is a business paper that shows the nature of a transaction.
The Journal and Source Documents CHAPTER 6. A journal is a book in which the accounting entries for all transactions are first recorded, before they are.
CENTURY 21 ACCOUNTING © 2009 South-Western, Cengage Learning LESSON 10-2 Journalizing Cash Receipts Using a Cash Receipts Journal.
Flowcharting Each day, the computer at ERA (see above) reads the Sales Order Database, checks the inventory master file for availability, and prints a.
DON’T DO IT! IT’S NOT HOPELESS. Documentation Flowcharting Due to thier complexity (when looking at them), flowcharts intimidate many people. However,
Causeway Table of Activities Mailroom 1.Recieves checks and remittance advices 2.Endorses checks 3.Annotates R/As 4.Prepares batch total 5.Sends batch.
Copyright  2006 Pearson Education Canada Inc. 7-1.
Banking Services 7.3 Reconcile your checkbook. 7.3 Balance your checkbook Goals: ◦Identify information that is provided on a checking account statement.
Chapter 3-1 The Islamic University of Gaza Accounting Information System The Revenue Cycle Dr. Hisham Madi.
From a client restaurant a representative will pick up a signed order sheet from the restaurant manager for the quantities desired of each item sold by.
Banking Services 7.3 Balance your checkbook. Goals: ◦Identify information that is provided on a checking account statement. ◦Explain how to reconcile.
Accounting Information Systems: A Business Process Approach Chapter Three: Documenting Accounting Systems.
At the end of each day the evening manager at each store enters a code into the cash register, after which the cash register connects to the central computer.
Prior to each transaction, the cashier at FoodWays enters a code into the cash register to let the cash register know that a new transaction is being processed.
Overview of the Revenue Cycle September 25, 2015.
ACCOUNTING DEPARTMENT WORKFLOW VIRTUAL ENTERPRISES, INTERNATIONAL New Coordinator Orientation.
The Causeway Company uses the following procedures to process the cash received from credit sales. The mailroom receives checks and remittance advices.
At each store, Sales Clerks receive the item to be purchased along with cash or a LCC from the customer. Sales clerks prepare LCC charge slips and then.
Computer Studies Today Chapter 2 1 » Payroll system » Mailing list system » Ticketing system » Point-of-sale system » Electronic funds transfer system.
Audit of the Sales and Collection Cycle. Identify the accounts and the classes of transactions in the sales and collection cycle. Describe the business.
The mailroom receives customer orders from customers, where clerks sort orders from the rest of the mail, group them into batches, prepare a transmittal.
Accounting Information Systems System Descriptions.
ACCOUNTING DEPARTMENT WORKFLOW
At the end of each day the evening manager at each store enters a code into the cash register, after which the cash register connects to the central computer.
Overview of the Revenue Cycle
Continuation of Causeway Example
Chapter 9 Sales and Cash Receipts
© 2014 Cengage Learning. All Rights Reserved.
© 2014 Cengage Learning. All Rights Reserved.
1 From a client restaurant a representative will pick up a signed order sheet from the restaurant manager for the quantities desired of each item sold.
Mailroom Recieves checks and remittance advices Endorses checks
The Causeway Company uses the following procedures to process the cash received from credit sales. The mailroom receives checks and remittance advices.
© 2014 Cengage Learning. All Rights Reserved.
BUSINESS HIGH SCHOOL-RECORD KEEPING
Flowcharting Each day, the computer at ERA (see above) reads the Sales Order Database, checks the inventory master file for availability, and prints a.
The sales department at Windways receives purchase orders from customers (contractors) for fans. The sales clerk enters the customer name into the computer.
Causeway Table of Activities
Causeway Table of Activities
Context Level DFD Video Purchase System Video Information Management
Flowcharting Exercise (flowchart the following activities)
ERA Table of Activities
1 From a client restaurant a representative will pick up a signed order sheet from the restaurant manager for the quantities desired of each item sold.
1 From a client restaurant a representative will pick up a signed order sheet from the restaurant manager for the quantities desired of each item sold.
The sales department at Windways receives purchase orders from customers (contractors) for fans. The sales clerk enters the customer name into the computer.
The sales department at Windways receives purchase orders from customers (contractors) for fans. The sales clerk enters the customer name into the computer.
Flowcharting Exercise (flowchart the following activities)
Causeway Table of Activities
© 2014 Cengage Learning. All Rights Reserved.
The mailroom receives customer orders from customers, where clerks sort orders from the rest of the mail, group them into batches, prepare a transmittal.
The Causeway Company uses the following procedures to process the cash received from credit sales. The mailroom receives checks and remittance advices.
1 From a client restaurant a representative will pick up a signed order sheet from the restaurant manager for the quantities desired of each item sold.
LESSON 10-3 Accounting for Cash and Credit Card Sales
ERA Table of Activities
Accounting for Sales and Cash Receipts
Mailroom Recieves checks and remittance advices Endorses checks
Accounting Information Systems: A Business Process Approach
Mailroom Recieves checks and remittance advices Endorses checks
Causeway Table of Activities
Causeway Table of Activities
Presentation transcript:

At each store, Sales Clerks receive the item to be purchased along with cash or a LCC from the customer. Sales clerks prepare LCC charge slips and then all sales - cash and charge - are keyed into the cash register. At the end of the shift, the clerk forwards the LCC slips to the store cashier (ignore the handling of cash). The store cashier batches the LCC slips and sends the batches to the cash receipts section in Boston at 5:00 P.M. each day. As each sale is keyed in by the sales clerks, Lansdowne's central computer system captures the transaction data and stores them on a disk file. Each night, the computer prints a sales report summarizing each store's transaction data. On the following morning, the sales report is sent to the cash receipts section, where the LCC slips for each store are reconciled to the line on the sales report that totals LCC sales for that store. The LCC slips are then sent to data processing, where data preparation clerks enter the charges on a key- to-disk unit (this is not a computer peripheral - just show a keyboard and a disk in data processing in the flowchart). At 9:00 P.M. each evening, the disk transaction file created by data preparation is sent to the computer room, where it is used to update the accounts receivable master file (also on disk). Each month, the computer prepares customer statements that summarize the LCC charges, and sends the statements to the customers ,2,3,5, ,12,13,7,8, ,16,17,9, ,11

Sales Clerks 1Receive LCC card 2Prepare LCC slips 3Key into cash register (computer) 4Forward to store cashier Cash Register (Computer) 5Capture transaction 6Store on disk file 7Print report summarizing store’s txns 8Send report to C/R section 9Update A/R master file (on disk) 10Prepare Customer Stmts 11Send Stmts to customers Store Cashier 12Batch LCC slips 13Send LCC slips to C/R section Cash Receipts Section 14Reconcile LCC slips to sales report (7 above) 15Send LCC siips to data processing Data Processing 16Enter charges on key-to-disk unit 17 Send disk txn file to computer (room) 1,2,3,5, ,12,13,7,8, ,16,17,9, ,11

Sales Clerk Sales Clerk Store Cashier Store Cashier Computer Data Processing Data Processing Cash Receipts Section Cash Receipts Section Customer Disk File A/R Masterkey to disk file txn data 3 txn data 6 LCC slips 4 batched LCC slips 13 summary report 8 batched LCC slips 15 charge data STMTS 11 Purchase ,2,3,5, ,12,13,7,8, ,16,17,9, ,

Sales Clerk Sales Clerk Store Cashier Store Cashier Computer Data Processing Data Processing Cash Receipts Section Cash Receipts Section Customer Disk File A/R Masterkey to disk file txn data txn data LCC slips batched LCC slips summary report batched LCC slips charge data STMTS Purchase 1,2,3,5, ,12,13,7,8, ,16,17,9, ,11

Customer Key-to-disk file A/R Master Disk file 1.0 Capture sales 1.0 Capture sales 2.0 Reconcile LCCs 2.0 Reconcile LCCs 3.0 Record Sales 3.0 Record Sales 4.0 Customer Stmts 4.0 Customer Stmts Purchase STMTS 1,2,3,5,6 4,12,13,7,8,14 15,16,17,9 10,11 1,2,3,5, ,12,13,7,8, ,16,17,9, ,11

Customer Key-to-disk file A/R Master Disk file 1.0 Capture sales 1.0 Capture sales 2.0 Reconcile LCCs 2.0 Reconcile LCCs 3.0 Record Sales 3.0 Record Sales 4.0 Customer Stmts 4.0 Customer Stmts Purchase STMTS 1,2,3,5, ,12,13,7,8, ,16,17,9, ,11