Semi-Annual Petty Cash Verification Letters Distributed in June

The semi-annual Petty Cash verification letters will be distributed in the beginning of June. If you are a petty cash custodian, be prepared to complete the required verification form and return the completed form to the Cash and Controls Team at [email protected] during June.

These semi-annual verifications help to ensure our petty cash is accounted for and our records are accurately stated. Failure to comply with this requirement may result in closure of the petty cash fund.