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Your department or student organization should complete daily reconciliation by comparing the following:
Visit the to follow step by step instructions. Scroll to the middle of the Workday System Preview Page and under Financial Transactions Training Materials select, "Departmental PNC Deposits & External CC Settlements - Workday Instructions."
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On a monthly basis, compare your deposits with the monthly reports you receive from .
For both daily and monthly reconciling, document and promptly resolve any differences you find. Include this documentation with your retained deposit records (and retain them for four years). Designate a member of management to take responsibility for reviewing and approving reconciliations in a timely manner. The designated member of management should also review the nature, extent, and resolution of overages and shortages.
Periodically, management should do the following:

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