Petty Cash Reconciliation Sheet

A petty cash reconciliation sheet is a business accounting document which is used to carry out a reconciliation of the physical petty cash and paid vouchers to the authorized petty cash float.

Reconciling petty cash is an important part of the internal controls of a business. The petty cash reconciliation sheet provides a summary of the petty cash counted by denomination, quantity and amount together will a total of paid vouchers contained within the petty cash box.

The total of the petty cash and vouchers together should equal the authorized petty cash float, any difference between the two is recorded and a comments box allows for an explanation of the difference.

petty cash reconciliation sheet v 1.0
Petty Cash Reconciliation Sheet Preview

Finally the petty cash reconciliation sheet is signed and dated by the person who carried out the count.

The PDF file available for download below, will help you to produce your own petty cash reconciliation sheets.

Petty Cash Reconciliation Sheet Template Download

The petty cash reconciliation sheet is available for download in PDF format by following the link below.

Notes and major health warnings
Users use this petty cash reconciliation sheet at their own risk. We make no warranty or representation as to its accuracy and we are covered by the terms of our legal disclaimer, which you are deemed to have read. This is an example of petty cash count sheet template that you might use. It is purely illustrative. This is not intended to reflect general standards or targets for any particular company or sector. If you do spot a mistake in the petty cash count sheet template, please let us know and we will try to fix it.
Petty Cash Reconciliation Sheet November 6th, 2016Team

You May Also Like

Related pages

calculating degree of operating leveragepmt equationcost volume profit formuladeferred revenue entryannuity examplesaccounting trial balance worksheetpayback period accountingdebtor days outstandingasset disposal double entryhow do i calculate retained earnings on a balance sheetdebit and credit entries in trial balancetimesheets templatesaccounting basics tutorialface value of a bond calculatorexcel templates for accounting small businessbalance sheet vertical analysis examplestate the accounting equationaccounting break even calculatorprepaid expenses appear in themark up percentage formulacvp formulaformula for annuity future valuedaybook in accountspv perpetuityquick ratio formula financedepreciation schedule templatesimple accounting format in excelsteps of the accounting cycleexample of general ledger entries for accountinghow to write a general ledgeraccounting worksheet excel templateledger accounts exampleaccounting adjusting entries practicecalculate depreciable cost per unitcarriage outwardssimply accounting chart of accountsentry for sale of fixed assetreconcile accounts payableformula of acid test ratiounearned income liabilitygrn accounting definitiondepreciation depletion and amortizationrumus receivable turnoverdouble declining balance calculatorwrite off receivableweighted average accounting formulatypical journal entries accountingoperating expenses equationbookkeeping entriesexpenses template small businesscontra entriesarr calculation formulafuture value of lump sumpetty cash bookkeepinggp calculator formulamaterials quantity variancelease accounting entriesdebtors control accountsfob shipping point fob destinationcalculate present value of perpetuitypetty cash journal entryannuity due exampleformula for calculating effective interest ratewhat is an unadjusted trial balanceperpetuity ba ii plusthe eight steps of the accounting cycleba ii plus growing annuityjournal entry for amortizationpv of annuity due formulapresent value calculator annuityaccounts receivable turnover definitionmarkup versus margin