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12. SYSTEM DOCUMENTATION EXPENDITURE CYCLE (MANUAL PROCEDURES) The following describes the expenditure cycle man- ual procedures for a hypothetical company. The inventory control clerk examines

12. SYSTEM DOCUMENTATION EXPENDITURE CYCLE (MANUAL PROCEDURES) The following describes the expenditure cycle man- ual procedures for a hypothetical company. The inventory control clerk examines the inven- tory records for items that must be replenished and prepares a two-part purchase requisition. Copy 1 of the requisition is sent to the purchasing department, and Copy 2 is filed. Upon receipt of the requisition, the purchasing clerk selects a supplier from the valid vendor file (reference file) and prepares a three-part purchase order. Copy 1 is sent to the supplier, Copy 2 is sent to the accounts payable department where it is filed temporarily, and Copy 3 is filed in the purchases department. A few days after the supplier ships the order, the goods arrive at the receiving department. They are inspected, and the receiving clerk prepares a three-part receiving report describing the number and quality of the items received. Copy 1 of the receiving report accompanies the goods to the stores, where they are secured. Copy 2 is sent to inventory control, where the clerk posts it to the inventory records and files the doc- ument. Copy 3 is sent to the accounts payable depart- ment, where it is filed with the purchase order. A day or two later, the accounts payable clerk receives the suppliers invoice (bill) for the items shipped. The clerk pulls the purchase order and receiving report from the temporary file and compares the quantity ordered, quantity received, and the price charged. After reconcil- ing the three documents, the clerk enters the purchase in the purchases journal and posts the amount owed to the accounts payable subsidiary account. On the payment due date, the accounts payable clerk posts to the accounts payable subsidiary account to remove the liability and prepares a voucher authorizing payment to the vendor. The voucher is then sent to the cash disbursements clerk. Upon receipt of the voucher, the cash disbursements clerk prepares a check and sends it to the supplier. The clerk records the check in the check register and files a copy of the check in the department filing cabinet.

Required Prepare a data flow diagram and a system flowchart of the expenditure cycle procedures previously described.

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