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picture1_Microsoft Excel Bank Reconciliation Template 33175 | Afl Snp Monthly Financial Report Template


 269x       Filetype XLSX       File size 0.05 MB       Source: angelfoundationforlearning.org


File: Microsoft Excel Bank Reconciliation Template 33175 | Afl Snp Monthly Financial Report Template
sheet 1 summary afl snp monthly financial report tcdsb schools amp the angel foundation for learning schoolprogram name reporting month year note information can only be entered into cells shaded ...

icon picture XLSX Filetype Excel XLSX | Posted on 10 Aug 2022 | 3 years ago
Partial file snippet.
Sheet 1: Summary
AFL SNP Monthly Financial Report

























TCDSB SCHOOLS & THE ANGEL FOUNDATION FOR LEARNING


























































School/Program Name


Reporting Month Year
































NOTE: Information can only be entered into cells shaded grey.























































ADJUSTED BANK BALANCE (from Report #11M - Reconciliation Detail Report)
































































CURRENT MONTH INCOME (REVENUE)



TOTAL


























FROM REPORT #11 Category # Category Name




Student Nutrition Program Monthly Report Process























36001 Grants (municipal and provincial funding only)



Step 1: You will need the following reports from the KEV school banking system:






















36002 Parent Donations (including cheques to AFL for tax receipts)

Bubnic, Kimberly (The Angel Foundation for Learning): Can be negative if a cheque was written to AFL.




#11M - Reconciliation Detail Report





















36004 Community Fundraising






#11 - Customized Transaction Report (for the month you just reconciled; sort by Category Number)





















36005 Grocery Foundation




Step 2: Open and save a copy of the "AFL SNP Monthly Report" Excel file






















36006 Breakfast Clubs of Canada






Complete the Summary page, picking up amounts from report #11M and #11





















36007 President's Choice Children's Charity






If you use vouchers or gift cards, complete the Vouchers & Gift Cards page





















36008 Other Revenue (i.e. HST rebate)






Complete the Program Information page






















Gift Card Donations
Identify Source:





Once all three pages have been completed, print a copy, and sign/date the program information page




























Step 3: Compile all paperwork, including:































Summary, Vouchers & Gift Cards, and Program Information pages from this Excel file






























KEV school banking reports #11 and #11M


























QUANTITY


Bank Statement






















Voucher/Coupon Donations
Identify Source:





Invoices/receipts





















(e.g. egg coupons)





Step 4: Photocopy all of the above paperwork and keep the photocopy on file at the school





























Step 5: Staple together and mail the original copy to AFL via Board courier























TOTAL INCOME


$-




























































































CURRENT MONTH EXPENSES (attach original receipts)


KEV SCHOOL BANKING GIFT CARDS TOTAL

























FROM REPORT #11 Category # Category Name





























36101 Food
Bubnic, Kimberly (The Angel Foundation for Learning): Pick up amounts from Report #11 - Customized Transaction Report
$- $-

























36102 Supplies

$- $-

























36103 Honorarium


$-

























36104 Small Equipment


$-

























36105 Bank Charges


$-

























36106 Other Expenses


$-


























TOTAL EXPENSES



$-



























































NET INCOME/(EXPENSE) FOR THE MONTH



$-

























































YES
If you have gift cards:






























NO

Did you count/verify gift cards on hand on the last day of the month?





























N/A

Does it match the gift card closing balance on the next page?































































If you have vouchers or coupons:
































Did you count vouchers/coupons on hand on the last day of the month?































Does it match the number of vouchers/coupons remaining - closing balance on the next page?





































































Page 1 of 3































November 2018


























Sheet 2: Vouchers & Gift Cards
AFL SNP Monthly Financial Report

TCDSB SCHOOLS & THE ANGEL FOUNDATION FOR LEARNING

























0



0 0













VOUCHER TRACKING

NUMBER OF VOUCHERS/COUPONS - OPENING BALANCE







Bubnic, Kimberly (The Angel Foundation for Learning): Ending balance from last month's report.


Quantity of Voucher/Coupon Donations Received







-

Vouchers/Coupons Available to use







-

Number of Vouchers/Coupons Redeemed










NUMBER OF VOUCHERS/COUPONS REMAINING - CLOSING BALANCE







-





































GIFT CARD TRACKING

GIFT CARD - OPENING BALANCE







Bubnic, Kimberly (The Angel Foundation for Learning): Ending balance from last month's report.

Gift Card Donations Received







$-

Gift Card Available







$-

Gift Card Purchases







$-

GIFT CARD - CLOSING BALANCE







$-





































GIFT CARD RECEIPTS

RECEIPT DATE (MM/DD/YY) ITEM NUMBER STORE NAME Gift Card # Food Supplies TOTAL


1
Enter the last four (4) digits of the Gift Card number.


$-


2



$-


3



$-


4



$-


5



$-


6



$-


7



$-


8



$-


9



$-


10



$-


11



$-


12



$-


13



$-


14



$-


15



$-







TOTALS $- $- $-


































Page 2 of 3










November 2018


Sheet 3: Program Information
AFL SNP Monthly Financial Report
TCDSB SCHOOLS & THE ANGEL FOUNDATION FOR LEARNING














0

0 0







Program Information

Breakfast Lunch Morning Meal Snacks
Number of days operating during the month



Number of students served per day



Number of meals served 0 0 0 0
Number of Volunteers





Number of Volunteer hours for the month

















Estimated value of food donations Description
$ Value

































Comments















Co-ordinator:


Principal:




Print Name
Print Name



Signature
Signature



Date
Date





















SUBMISSION INFORMATION


Submission Checklist:
Send completed, signed report via Board office



Print monthly report
courier to:


Attach KEV school banking reports - #11, #11M
The Angel Foundation for Learning - Nutrition


Attach original bank statement
Attention: Nutrition Managers



Attach original invoices and receipts





Photocopy all paperwork and file copy at school





























Page 3 of 3






November 2018


The words contained in this file might help you see if this file matches what you are looking for:

...Sheet summary afl snp monthly financial report tcdsb schools amp the angel foundation for learning schoolprogram name reporting month year note information can only be entered into cells shaded grey adjusted bank balance from m reconciliation detail current income revenue total category student nutrition program process grants municipal and provincial funding step you will need following reports kev school banking system parent donations including cheques to tax receipts bubnic kimberly negative if a cheque was written community fundraising customized transaction just reconciled sort by number grocery open save copy of quot excel file breakfast clubs canada complete page picking up amounts president s choice children charity use vouchers or gift cards other ie hst rebate card identify source once all three pages have been completed print signdate compile paperwork this quantity statement vouchercoupon invoicesreceipts eg egg coupons photocopy above keep on at staple together mail origi...

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