(a) Water and sewer departments shall establish a cash receipts journal or an electronic receipts listing, which shall indicate the:
(1) Receipt number;
(2) Date of the receipt;
(3) Payor;
(4) Amount of the receipt; and
(5) Classification or general ledger account.
(b) Classifications of the receipts shall include the major sources of revenue.
(c)
(1) All items of receipts shall be posted to and properly classified in the cash receipts journal or electronic receipts listing.
(2)
(A) The journal shall be properly balanced and totaled monthly and on a year-to-date basis.
(B) The journal shall be reconciled monthly to total bank deposits as shown on the department's bank statements.
(3)
(A) The electronic receipts listing shall be posted to the general ledger at least monthly.
(B) The general ledger shall be reconciled monthly to total bank deposits as shown on the department's bank statements.
Structure Arkansas Code
Subtitle 14 - Solid Waste Disposal, Waterworks, And Sewers Generally
Chapter 237 - Arkansas Municipal Water And Sewer Department Accounting Law
§ 14-237-103. Exemption of accounting systems exceeding minimum
§ 14-237-105. Prenumbered receipts or mechanical receipting devices
§ 14-237-106. Prenumbered checks — Electronic funds transfers
§ 14-237-107. Petty cash funds
§ 14-237-108. Fixed asset records
§ 14-237-109. Cash receipts journal
§ 14-237-110. Cash disbursements journal
§ 14-237-111. Reconciliation of bank accounts
§ 14-237-112. Maintenance and destruction of accounting records