Difference between revisions of "HOWTO Be Treasurer"

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(Created page with '== Monthly Duties == Before First Tuesday * Send out a dues reminder email. First Tuesday * Collect checks that have been mailed by members banks. * Collect dues at the member...')

Revision as of 07:27, 27 November 2011

Monthly Duties

Before First Tuesday

  • Send out a dues reminder email.

First Tuesday

  • Collect checks that have been mailed by members banks.
  • Collect dues at the member meeting, and collect everything from the dues drop box.

Between First and Second Tuesday

  • Enter all dues payments (Amazon, cash, checks) into the dues spreadsheet and GNUCash.
  • Deposit cash and checks at the bank.
  • Send email reminders to anyone who has not paid dues for the current month.
  • Reconcile previous month's bank statement in GNUCash.

Second Tuesday

  • Present current financial numbers to the board.
  • Deactivate cards of members who are more than a month behind, and who have not arranged a payment plan.

28th of each month

  • Contact anyone who paid through Amazon in the middle of the previous month. Remind them that if they have a subscription, they should cancel it and restart it so that the payment comes out on or before the first.

How to enter dues payments

  1. Make a timestamped copy of the dues spreadsheet
  2. Open the cash account in GNUCash
  3. Enter each cash payment in the dues spreadsheet, then into the cash account as Income:Member Dues:<Last, First>, then write a cash receipt and put it in the "dues receipts" envelope. Put the money in the "to deposit" envelope.
  4. Open the Undeposited Checks account in GNUCash.
  5. Enter each check payment in the dues spreadsheet, then into the undeposited checks account (include the check number). Stamp "for deposit only" on the endorsement line of the check, and put it in the "to deposit" envelope.
  6. Open the Amazon Payments GNUCash account, and log into Amazon Payments.
  7. For each new payment, put two entries into GNUCash. One from Income:Member Dues:<Last, First>, and one from Expenses:Bank Fees:Amazon Payments.
  8. Verify that the amazon payments balance in GNUCash matches the amount in Amazon Payments.
  9. On a 10-key adding machine, subtotal the cash in the "to deposit" envelope, then subtotal the checks in the "to deposit" envelope, then calculate the combined total. Verify that the subtotals match the Cash and Undeposited Checks accounts in GNUCash.
  10. Transfer all entered Amazon Payments funds into the bank account.