Kreton Corporation, your new audit client, processes its sales and cash receipts in the following...
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Accounting
Kreton Corporation, your new audit client, processes its sales and cash receipts in the following manner: Sales. Salesclerks prepare sales invoices in triplicate. The original and second copy are presented to the cashier, and the third copy is retained by the sales clerk in the sales book. When the sale is for cash, the customer pays the sales clerk, who presents the money to the cashier with the invoice copies. A credit sale is approved by the cashier from an approved credit list. After receiving the cash or approving the invoice, the cashier validates the original copy of the sales invoice and gives it to the customer. At the end of each day, the cashier recaps the sales and cash received, files the recap by date, and forwards the cash and the second copy of all sales invoices to the accounts receivable clerk. The accounts receivable clerk balances the cash received with cash sales invoices and prepares a daily sales summary, Cash sales are posted by the accounts receivable clerk to the cash receipts journal, and the daily sales summary is filed by date. Cash from cash sales is included in the daily bank deposit preparation of the bank deposit is described with cash receipts in the following section The accounts receivable clerk posts credit sales invoices to the accounts receivable ledger and then sends all invoices to the inventory control clerk in the sales department. The inventory clerk posts to the inventory control cards and files the sales invoices numerically. Please prepare excel flowchart.
Kreton Corporation, your new audit client, processes its sales and cash receipts in the following
manner:
Sales. Salesclerks prepare sales invoices in triplicate. The original and second copy are presented to the
cashier, and the third copy is retained by the sales clerk in the sales book. When the sale is for cash, the
customer pays the sales clerk, who presents the money to the cashier with the invoice copies.
A credit sale is approved by the cashier from an approved credit list. After receiving the cash or
approving the invoice, the cashier validates the original copy of the sales invoice and gives it to the
customer. At the end of each day, the cashier recaps the sales and cash received, files the recap by date,
and forwards the cash and the second copy of all sales invoices to the accounts receivable clerk.
The accounts receivable clerk balances the cash received with cash sales invoices and prepares a daily
sales summary, Cash sales are posted by the accounts receivable clerk to the cash receipts journal, and
the daily sales summary is filed by date. Cash from cash sales is included in the daily bank deposit
preparation of the bank deposit is described with cash receipts in the following section The accounts
receivable clerk posts credit sales invoices to the accounts receivable ledger and then sends all invoices
to the inventory control clerk in the sales department.
The inventory clerk posts to the inventory control cards and files the sales invoices numerically.
Please prepare excel flowchart.
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