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6. Give money with deposit forms to AR staff for deposit during the book sale.

Ending book sale:

1. At the end of each day before you disconnect the cash register, "Z" out the register to obtain the day's log of totals. Save this to balance register and money at the end of the book sale and to give the copy to AR.

2. At the end of each day, count money in the register, make a final deposit, and keep some for change for the next day.

3. Final end of book sale, "Z" the last transactions. Balance the register with cash and void slips. Give receipts and money to AR.

4. Notify CM librarian of book sale total, total of Media material sold, and total of SC material sold.

5. Weed through book sale left overs, clean up, and leave some for free give away for a short period of time.

6. Clean up on last day. Move benches, tables, bookshelves to their original locations.