Question: Identify the control activity that is applicable to each item in the table shown below Identify the control activity that is applicable to each item

Identify the control activity that is applicable to each item in the table shown below

Identify the control activity that is applicable to each item in thetable shown below Identify the control activity that is applicable to each

Identify the control activity that is applicable to each item in the table shown below: Activity 1 All cash is deposited intact, in the bank account, daily. 2 Blank cheques are stored in a safe in the controller's office. Establishment of Responsibility Documentation Procedures 3 All cashiers are bonded. Physical and IT Controls Human Resource Controls Independent Checks of Performance 4 All over-the-counter receipts are recorded on cash registers. Segregation of Duties 5 All payments, except for petty cash transactions, are made by cheque. 6 Cheque signers are not allowed to record cash payment transactions. 7 Company cheques are pre-numbered. 8 Daily cash counts are made by cashier department supervisors. 9 Only cashiers may operate cash registers. 10 Only the controller or assistant controller may sign cheques. 11 The bank statement is reconciled monthly by an internal auditor. The duties of receiving cash, recording cash, and maintaining custody 12 of cash are assigned to different individuals.Indicate if the control activity is for cash receipts or for cash payments including petty cash. Cash Receipts or Cash Payments 1 All cash is deposited intact, in the bank account, daily. 2 Blank cheques are stored in a safe in the controllers ofce. Cash Receipts, Cash Payments 3 All cashiers are bonded. 30th 4 All over-the- counter receipts are recorded on cash registers. v 5 All payments, except for petty cash transactions, are made by cheque. v 6 Cheque signers are not allowed to record cash payment transactions. v 7 Company cheques are pre-numbered. v 8 Daily cash counts are made by cashier department supervisors. v 9 Only cashiers may ope rate cash registers. v 10 Only the controller or assistant controller may sign cheques. v 11 "he bank statement is reconciled monthly by an internal auditor. v 12 "he duties of receiving cash, recording cash, and maintainingcustody of cash are assigned v to different individuals

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