N.M. Admin. Code § 9.4.7.22

Current through Register Vol. 35, No. 21, November 5, 2024
Section 9.4.7.22 - APPENDIX 11: COMMISSION FOR THE BLIND BUSINESS ENTERPRISE PROGRAM

DAILY REPORT

DAY_________________

Pennies________________

Nickels________________

Dimes_________________

Quarters_______________

Other________________ TOTAL________________

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Ones_________________

Fives_________________

Tens_________________

Twenties______________

Other________________ TOTAL________________

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Checks _____________ _______________

_____________ _______________

_____________ TOTAL_______________

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Other Income

_____________ TOTAL_______________

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Pay Outs

___________ __________ TOTAL_______________

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ENDING READING A______________(FROM CASH REGISTER)

OVERRINGS B______________

SALES C______________A-B =C

DRAWER TOTAL D______________ADD ALL OF THE TOTALS ABOVE

===============

BALANCE E______________C-D OVER________SHORT

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DEPOSIT $_______________ E-PAYOUT TOTAL $___________

DAY _____________

DRAWER START ____________

SAFE TOTAL ____________

OTHER PETTY CASH ____________

================

TOTAL CASH ON

HAND LESS DEPOSIT ___________

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SALES ___________

(C) SALES | AVERAGE TICKET

TAX X | SALES________

___________ TAX % | DIV.

| TICKET________

___________ SALES TAX] |

OWED = ______

N.M. Admin. Code § 9.4.7.22

4/15/97; Recompiled 10/01/01