Financial Management Manual

Section G:
Revenue Collection
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Overview
Student Tuition and Fees
College-Wide Fees
Processing Fees
Payment of Fees
Cash Close Out and Reconcilement
Cash Registers
Reconcilement of SIS B/R Clearing Account
Student Refunds & Tuition Waivers/Adjustments
Financial Aid
Accounts Receivable Write-offs
Fee Collected by a Collection Agency
Student Bankruptcy
Cash Receipts - Other Receipt Items
Property and Materials
Other Receipt Items
F. Reconcilement of SIS B/R Clearing Account
 

The Region is required to reconcile monthly the SIS B/R Clearing Account.  A copy of the reconcilement must be sent quarterly to the Cash and Auxiliary Accounting Department at Central Office no later than fifteen days after the end of each quarter.

 

 

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