Customer: Pay charges on a timely basis with a valid form of payment Dairy Bar Cashiers: Accept payments in the form of cash and credit cards. Verify cash received is not counterfeit, and secure cash in locked safe to ensure proper security of payments received. When processing credit card payments, only staff trained in PCI compliance may accept this form of payment to ensure compliance with PCI requirements. Accounts Coordinator: Counts cash, checks and prepares deposits, reconciles deposits bi-weekly, safe counts done monthly, and reports discrepancies to Dining Manager and FTC. Dining Manager: Verifies safe counts, approves deposits, notifies FTC when safe combination is updated. Receives notification of cash discrepancies for further action. SCL FTC: Reconciles clearing accounts each month to verify payments clear appropriately. Notified of discrepancies in deposits and safe. |