Difference between revisions of "Financial Cluster"

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== General Financial Responsibilities ==
 
== General Financial Responsibilities ==
 
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All duties are coordinated by the Financial Cluster Coordinator.  
We've arrived at a point where the various financial cluster stuff that has to get done fits into some convenient frequency categories.  In principle, a single person could handle all of the weekly, monthly, yearly, and incidental work.  But because we're all volunteers, it helps to spread it out.
 
  
 
=== Useful Links ===
 
=== Useful Links ===
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=== Incidental Duties ===
 
=== Incidental Duties ===
I'll start with the incidental, which is managed by the Financial Cluster Coordinator. This is the category that requires the most, um, creativity and responsiveness.  The person fulfilling these duties needs ample flexibility to spend BK money and legally sign on behalf of the BK.  So this person should be the Treasurer in the corporate sense.  The sorts of things that this person does is included in the following list.  For more information, see the [[Financial Cluster Coordinator]].
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This is the category that requires the most creativity and responsiveness.  The person fulfilling these duties needs ample flexibility to spend BK money and legally sign on behalf of the BK.  So this person should be the Treasurer in the corporate sense.  The sorts of things that this person does is included in the following list.  For more information, see the [[Financial Cluster Coordinator]].
  
* Being familiar with how the weekly/monthly/yearly jobs work and ensuring that they get done.
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* Being familiar with how the weekly/monthly/yearly jobs work and ensuring that they get done.
 
* Checking the mail at least weekly and paying the bills.
 
* Checking the mail at least weekly and paying the bills.
 
* Main contact for vendors (i.e., PG&E, Golden Gate Disposal, etc.)
 
* Main contact for vendors (i.e., PG&E, Golden Gate Disposal, etc.)
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* Migrating incidental tasks to the Weekly, Monthly, and Yearly categories as possible.
 
* Migrating incidental tasks to the Weekly, Monthly, and Yearly categories as possible.
 
* Being responsive on email
 
* Being responsive on email
* Managing paypal and brown paper tickets money
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* Managing PayPal and EventBright ticket money
 
* Speak up about spending proposals
 
* Speak up about spending proposals
 
* Having a solid opinion about the BK financial situation, and promoting that opinion in meetings and on the mailing list.
 
* Having a solid opinion about the BK financial situation, and promoting that opinion in meetings and on the mailing list.
  
 
=== Daily Duties ===
 
=== Daily Duties ===
These are simple tasks such as using the register and getting petty cash for stuff like TPThe procedures for the daily stuff are pretty much transmitted by folklore, and are handled by anybody who's around. Documentation and training are probably the big improvements to be made here.
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Each shift has some financial duties which they must handle.  The main daily duties are:
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1) Pick up the bills and mail and put in the office in box.
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2) Get petty cash for urgent, minor purchasesRon is the Supplies Coordinator, please let him know about bigger, predictable, or ongoing needs.
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3) Close the register at the end of each shift.
  
 
=== Weekly Duties ===
 
=== Weekly Duties ===
Every week, somebody Zs out the register, prepares the register report, and deposits the moneyThat goes in the Accounting Inbox.  The Register Report form, which is attached, is the central document that drives the weekly stuff.  This is the category of work best done by somebody consistently doing a shiftThe big challenge of handling the weekly stuff is solving little mysteries such as "Who didn't pay for their special order?" and "Why is the register $132 light?"
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Every week, the daily closing reports are reconciled and the weekly deposit is preparedThis incorporates determining how many sales in each category of sales (membership, day use, parts, etc), recording special order payments, recording petty cash spent for Saturday lunch and other items, determining if the register is short and whyIt also involves recording all of this in GnuCash and preparing the deposit slip and taking the money to Chase. 
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 +
Checks written to pay bills, reimbursement checks, and any other transactions are also recorded in GnuCash on a weekly basis.
  
 
=== Monthly Duties ===
 
=== Monthly Duties ===
The monthly task involves sitting down for a couple of two-or-three hour sessions, going through the Accounting Inbox and updating the ledger with the transactions.  There are generally only about 10-20 transactions, but some of them, such as the register deposits and vendor orders are pretty complex.  And of course there's always some little mysteries to solve.  After working out all of the mysteries, and reconciling with the bank statement, the final step is to prepare the monthly report and email the mailing list.  For more information, see the [[Monthly Accounting Duties]] wiki page. We keep the ledger in gnucash.  See google and ask Brian or Steven about that.
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Monthly duties include:
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1) Reconciling the bank statement
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2) Entering the monthly QBP order in to GnuCash
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3) Reconciling EventBright ticket sales with PayPal and entering class sales and EB/PP fees into GnuCash
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4) Reconciling QBP orders with Special Order payments
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5) Sales tax is due to the California Franchise Tax Board on a quarterly basis, at the end of the month following the last month of the quarter (EG April 30, July 31, October 31, and January 31)  
  
 
=== Yearly Duties ===
 
=== Yearly Duties ===
The big ones here are reporting and paying sales tax, reporting to the IRS, and (if necessary) reporting to the FTBThese tasks are the usual bureaucratic game of filling out forms, keeping records, etc.  The sales tax return has to be completed by January 31 of each year.  The IRS and FTB stuff is due 4.5 months after the end of our fiscal year, which lands on March 15 of each year.  Another task is to prepare the fiscal year end report.  There is no document on how we do this stuff, but we're constantly massaging the weekly and monthly tasks in an effort to make the yearly tasks as painless as possible.
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The big one here is reporting to the IRS.  This is just the usual bureaucratic game of filling out forms, keeping records, etc.  The IRS stuff is due on the 15th day of the 5th month after the end of our fiscal year (December 31 -> May 15 each year).  Another task is to prepare the fiscal year end report.  There is no document on how we do this stuff, but we're constantly massaging the weekly and monthly tasks in an effort to make the yearly tasks as painless as possible.
  
 
== Specific Protocols ==
 
== Specific Protocols ==
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'''If you took cash out of the register....'''
 
'''If you took cash out of the register....'''
* Put the reciept and the change in the register.   
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* Put the receipt and the change in the register.  If you took out $20, the change + the receipt amount should = $20.   
 
   
 
   
 
'''If you need to get reimbursed....'''
 
'''If you need to get reimbursed....'''
 
* Write your name and that you need to get reimbursed on the receipt.
 
* Write your name and that you need to get reimbursed on the receipt.
* Put the receipt in the Accounting In Box folder.
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* Put the receipt in the Accounting In Box folder (the first file in the top left drawer in the office).
 
   
 
   
 
'''If you used a BK card....'''
 
'''If you used a BK card....'''
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=== Cash Register / Money ===
 
=== Cash Register / Money ===
  
  [[User:Ledlie|Ledlie]]: This section needs to be written
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At the end of each shift, please Z-out the register.
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1) Turn the key to Z
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2) Hit the "CA/AMT TEND" button
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3) The tape will print out the Z report. Hit "Feed" a few times and tear off the tape.
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4) Leave $50 in small bills in the register and put the rest with the tape, receipts, and change in an envelope and drop it in the safe.
  
For the time being, see the posting next to the cash register in the shop.
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For bonus points, look at the total sales for the day on your Z report.  Does it match the cash + receipts you took out of the drawer?
  
 
=== Gift Cards / Certificates ===
 
=== Gift Cards / Certificates ===

Revision as of 19:21, 1 December 2012

General Financial Responsibilities

All duties are coordinated by the Financial Cluster Coordinator.

Useful Links

Incidental Duties

This is the category that requires the most creativity and responsiveness. The person fulfilling these duties needs ample flexibility to spend BK money and legally sign on behalf of the BK. So this person should be the Treasurer in the corporate sense. The sorts of things that this person does is included in the following list. For more information, see the Financial Cluster Coordinator.

  • Being familiar with how the weekly/monthly/yearly jobs work and ensuring that they get done.
  • Checking the mail at least weekly and paying the bills.
  • Main contact for vendors (i.e., PG&E, Golden Gate Disposal, etc.)
  • Sniffing through the Accounting Inbox weekly and writing any reimbursement checks.
  • Fixing and developing systems like special order protocol, earmarked fund management, cash money allocation, etc.
  • Migrating incidental tasks to the Weekly, Monthly, and Yearly categories as possible.
  • Being responsive on email
  • Managing PayPal and EventBright ticket money
  • Speak up about spending proposals
  • Having a solid opinion about the BK financial situation, and promoting that opinion in meetings and on the mailing list.

Daily Duties

Each shift has some financial duties which they must handle. The main daily duties are: 1) Pick up the bills and mail and put in the office in box. 2) Get petty cash for urgent, minor purchases. Ron is the Supplies Coordinator, please let him know about bigger, predictable, or ongoing needs. 3) Close the register at the end of each shift.

Weekly Duties

Every week, the daily closing reports are reconciled and the weekly deposit is prepared. This incorporates determining how many sales in each category of sales (membership, day use, parts, etc), recording special order payments, recording petty cash spent for Saturday lunch and other items, determining if the register is short and why. It also involves recording all of this in GnuCash and preparing the deposit slip and taking the money to Chase.

Checks written to pay bills, reimbursement checks, and any other transactions are also recorded in GnuCash on a weekly basis.

Monthly Duties

Monthly duties include: 1) Reconciling the bank statement 2) Entering the monthly QBP order in to GnuCash 3) Reconciling EventBright ticket sales with PayPal and entering class sales and EB/PP fees into GnuCash 4) Reconciling QBP orders with Special Order payments 5) Sales tax is due to the California Franchise Tax Board on a quarterly basis, at the end of the month following the last month of the quarter (EG April 30, July 31, October 31, and January 31)

Yearly Duties

The big one here is reporting to the IRS. This is just the usual bureaucratic game of filling out forms, keeping records, etc. The IRS stuff is due on the 15th day of the 5th month after the end of our fiscal year (December 31 -> May 15 each year). Another task is to prepare the fiscal year end report. There is no document on how we do this stuff, but we're constantly massaging the weekly and monthly tasks in an effort to make the yearly tasks as painless as possible.

Specific Protocols

Receipts

In all cases....

  • If you can't tell from the receipt, write down what it was for. Also say what 'department' it's for - shop supplies, fundraising, etc
  • If you can't read the dollar amount, write that down too.

If you took cash out of the register....

  • Put the receipt and the change in the register. If you took out $20, the change + the receipt amount should = $20.

If you need to get reimbursed....

  • Write your name and that you need to get reimbursed on the receipt.
  • Put the receipt in the Accounting In Box folder (the first file in the top left drawer in the office).

If you used a BK card....

  • Write that you used a BK card on the receipt.
  • Put the receipt in the Accounting In Box folder.

For other financial-related information, see the Financial Cluster page.

Cash Register / Money

At the end of each shift, please Z-out the register. 1) Turn the key to Z 2) Hit the "CA/AMT TEND" button 3) The tape will print out the Z report. Hit "Feed" a few times and tear off the tape. 4) Leave $50 in small bills in the register and put the rest with the tape, receipts, and change in an envelope and drop it in the safe.

For bonus points, look at the total sales for the day on your Z report. Does it match the cash + receipts you took out of the drawer?

Gift Cards / Certificates

See the Gift Card Protocol page.

Additional Resources

Reports: