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Level 0 Data Flow Diagram of The Cash Receipts System at S&S

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Level 0 Data Flow Diagram of the Cash Receipts System at S&S:

Remittance
Customers File
Payments at
Sale
Remittances
on
Account
Remittance
Slips 2.0
1.0
Update
Process
Customer
Payments
Accounts
Endorsed
Checks &
Cash, Deposit
Slip

3.0
Accounts
Bank Prepare
Receivable
Reports
Ledger Aged Trial
Balance

Cash
Receipts
Report

Credit and
Management
Collections

Prepare a document flowchart to document the cash receipts system at S&S


S&S Cash Receipts System

Treasurer Clerk Accounts Receivable

From Customer A B

Cash and Checks Cash and Checks Remittance Slip

Remittance Slip
B Deposit Slip

Update
Accounts
Accounts
To Bank Receivable
Receivable
Ledger/File
Ledger/File
Endorse
Checks and
Prepare
Deposit Slip for
Cash & Checks

Remittance Slips

Generate
Weekly
Reports

Cash and Checks


D

Deposit Slip
Cash Receipts
Aged Trial Balance
Report

To Management

To Credit &
Collections

Prepare a business process diagram for the cash receipts system at S&S
Employee Activities Performed
Treasurer From customer
Receive cash and remittance
advices, Endorse checks, and
Prepare deposit slip

Clerk
Deposit
cash in
bank
Accounts Weekly
Receivable Receive Generate cash receipt
remittance advice, report &aged trial
Update accounts balance using A/R ledger
receivable
Management:
Scott & Review cash
Susan receipts report

Credit and
Collections Review aged
trail balance

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