Resources and Training

Training Documents

This procedure is used to ensure the proper collection, custody and timely deposit of cash receipts.
A 2 page .pdf on the deposit and safeguarding of revenues.
Fall 2016 Orientation Powerpoint

Contact Us

Phone: (817) 735-2026
Fax : (817) 735-0677
Main email:

This page was last modified on October 7, 2019