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Exhibit A <br />reconciling the OCCTAC account. All funds received shall be recorded in the accounting system <br />and filed in the accounting file cabinet. <br />Disbursements: All disbursements shall be made by checks drawn on the established operating <br />checking account for the OCCTAC. All disbursements shall utilize pre -numbered checks used in <br />sequence. Any and all "voided" checks shall be mutilated and notes on the voided check stub. At no <br />time shall disbursements be made to "bearer" or to "cash". All banking materials, records, blank <br />checks, and deposit books shall be maintained in secure cabinets in the OCCTAC office under the <br />supervision of the Executive Director, Program Director and Finance/Accountant or staff. Only <br />those individuals authorized to handle check stock as their part of their accounting duties for <br />OCCTAC account shall have access to these banking materials. Disbursements shall be prepared <br />from original invoices. Each disbursement shall require submission of a purchase request form and <br />appropriate backup documentation. Invoices shall be date stamped upon receipt and marked <br />"approved for payment" by the Accountant. <br />All invoices or vendor statements will be initialed by the Director of Programs or the Executive <br />Director prior to signing the check to pay that bill or invoice. After checks are printed and signed, <br />the accountant shall mark "Paid" with the date of payment and check number utilized for payment. <br />All disbursements shall be reviewed and approved by the Director of Programs and/or the Executive <br />Director. A monthly review of all disbursements shall be conducted by the Accounting/Finance <br />Director for verification of accuracy, documentation and appropriate approval. The Executive <br />Director shall be authorized to expend funds as approved by the Board of Directors under the <br />organization's annual operating budget. All requests for reimbursement shall be reviewed and <br />approved by the Executive Director. All reimbursements are subject to budgetary limitations as <br />established in the organization's approved operating budget. No reimbursement shall be made <br />without appropriate backup documentation (i.e. Receipt or comparable document stating purchase <br />description, date, place and amount of sale and of the specific reimbursable item). <br />Reconciliation of Accounts: All OCCTAC bank accounts shall be reconciled monthly. A monthly <br />review of all accounts and financial reports shall be prepared by the Board Treasurer or designated <br />Finance Committee Member. <br />Financial Reporting: The Administrator shall maintain books of account using Generally Accepted <br />Accounting Principles, and an accounting system capable of managing the bookkeeping and <br />financial reporting needs of operating the Center. <br />Files And Records: OCCTAC shall maintain hard copy files for all operational and business <br />transactions that occur. Files shall be separated into the following categories: Accounting records; <br />grant documentation; Tax filings; Donors; Legal/Insurance/License /Permits; OCCTAC Programs; <br />Personnel documents and files; Vendor and Client contracts and other documents. OCCTAC shall <br />maintain electronic and hardcopy records of all accounting transactions and financial reporting. All <br />electronic records shall be copied and stored in a secure, off site location or in a web based file <br />storage system. All financial and accounting hardcopy files shall be stored in a secure lockable file <br />cabinet. Any requests for filed financial documentation must go through the accounting staff to get a <br />photocopy of the original document. Original financial documentation shall remain in the file cabinet <br />at all times unless it is being copied and returned to the files by the OCCTAC accounting staff. <br />Monies received by mail: All checks received by mail shall be immediately stamped using the <br />ORANGE COUNTY CHILDREN'S THERAPEUTIC ARTS CENTER "For Deposit Only" stamp <br />15 <br />