Petty Cash Verification Letter Responses due by December 30, 2017

The semi-annual petty cash verification letters were distributed at the end of November.  If you are a petty cash custodian, please complete and return the required verification form to the Cash and Controls Team at [email protected] before the end of December 2017.

These semi-annual verifications help 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.

If you have any questions or did not receive your letter, contact the Cash and Controls Team.