REVENUE COLLECTION
Adopted: January 1983
Last Updated: May 9, 2002
GENERAL STATEMENT
The University Union is committed to the responsible handling
of cash and checks as well as other revenue collection as a
part of doing business.
GUIDELINES AND PROCEDURES
A. Cash or checks payable to the Union and received by the University
Union Office or any Union employee will immediately be deposited
to the proper Union account via the ASI cashier and receipt
obtained for the funds from the cashier. Such receipt identifies
the date, source, amount, and account to be credited.
B. Facility use invoices will be prepared based on approved
fees and facility use confirmation. Invoices will be prepared
and forwarded by the ASI Accounting Office on behalf of the
University Union. The Arrangements Office will initiate each
invoice by memo to the ASI Office indicating use, date, name
and address of customer, and amount, as well as account to be
credited.
The Assistant Director will, on a regular basis, review and
compare the scheduling records and invoice generating memos
to insure that appropriate invoices are being generated for
services rendered.
C. Games Room change funds, in and out, and cash received shall
be compared on a daily basis to register tapes to verify accuracy
of income and cash handling. Supervisor will spot check table
use on a regular basis insuring that all customers are logged
in on the cash register computer while using tables.
D. Revenue from the Games Room Electronic Amusements is to be
counted on a weekly basis (less frequently during the summer
and holiday periods). Together, a representative from the Electronic
Amusement Vendor and a representative of the University Union
will count the gross revenue from all the machines. The percentage
split (as specified by contract) will be applied to the gross
revenue, and both representatives would sign a receipt for the
amount due the University Union. Within two weeks the Electronic
Amusement Vendor would format a check to the Union for the last
revenue collection. Twice a year (December 31 and June 30) the
accumulated revenue due the Union would be compared against
the contract guarantee. Any shortfall would then be invoiced
to the vendor for payment within 30 days.
E. Ticket sales for Union programs will be handled through the
Central Ticket Office. See "Ticket Revenue Accountability
Policy".
F. Monthly account balances for all Union revenue accounting
is provided by the ASI Business Office with supervisors, managers,
and Director reviewing such balances to insure proper receipt
and account crediting of income.
G. Monthly outstanding receivables for each Union department
will be provided by the ASI Business Office. Supervisors, managers,
and Director review such receivables and with department managers
following up on overdue collectibles.
H. The Union shall maintain for employees bonds or adequate
crime insurance to an amount commensurate with funds handled
by/available to that employee.
I. Contract with ASI shall require assumption of liability,
audit, and insurance for all Union funds and accounts handled.