Peace Corps OST Task Analysis - Cashier
Peace Corps OST Task Analysis - Cashier
Peace Corps OST Task Analysis - Cashier
Number of
Hours
Description
per Function
of Count
Time %
ADMINISTRATIVE ASSISTANT/CASHIER
KNOWLEDGE & INTERPRETATION OF REGULATIONS
Studies, learns and interprets, all regulations pertaining to the administration of
PC/_ Imprest Fund, the Administration regulations handbook of PC, and the FOR
Post Accounting system, travel regulations, and the PCV Handbok. This includes
taking and passing the Treasury Cashier Correspondence Cours
36
12
36
1.73077
As Needed
703
1.73077
33.7981
12
60
Monthly
2.88462
104
312
Twice
Weekly
15
9. Check Receipt. Upon receiving checks, cashier enters into FORPost all checks
received and the dates they were received, Checks are then attached to appropriate
payment vouchers.
52
1.5
78
Weekly
3.75
52
156
Weekly
7.5
11. PSC Check Deposit. Processes receipt of all PSC compensation checks.
Prepares multiple payment listing with individual amounts and bank accounts
26
2.5
65
x Pay
Period
3.125
12
24
Monthly
1.15385
13. Quarterly Checks & Cash on Hand Report: Prepares quarterly checks and
cash on hand report, including PCVs cash and travellers checks. Gives to AO for
approval & forwards report to HQ.
Quarterly
0.38462
1250
60.0962
922
0.75
691.5
2. Daily Imprest Fund Reconciliation. At the end of every day, counts cash in
local currency and US Dollars, revises pending vouchers, adds interim advances
adds sub-vouchers on hand and insures that cash is balanced, prints report and files.
261
261
As Needed
33.2452
Daily
12.5481
Yearly
0.09615
104
104
As Needed
12
1.5
18
Monthly
6. Interim Advances. Provides interim advances to staff, according to the FOR Post
Process, of preparing the advance, getting authorizing signatures from the AO and
the CD and paying. Daily monitoring of advances is a requirement, in order not to
keep advances outstanding over the regulation authorized limits.
52
0.25
13
As Needed
0.625
165
0.5
82.5
As Needed
3.96635
8. Bank. Goes to the bank to cash imprest fund replenishment checks, as needed,
and makes deposits for some PCVs and vendors.
52
1.5
78
Weekly
7.5
0.86538
3.75
0.36058
1. Keeps abreast of Close of Service Volunteer terminations to make sure Readjustment Allowance checks have arrived from PC/W to pay the advanced 1/3 of their
allowances prior to departure from post, if they had not requested the allowance to
be deposited at their HOR. When checks arrive at post, cashier verifies against
control register. Checks for PCVs that have Early Terminated have to be returned,
and those for PCVs who did not get their check have to be requested urgently.
10
0.5
Yearly
0.24038
10
0.25
2.5
Yearly
0.12019
checklists that are kept on file, RA checks and explanations are given PCVs
against their signed receipts which are also kept on file
13
IV. Time & Attendance - FSN: Prepares time and attendance report for FSN.
Has AO & CD certify report copy and sends original to US Embassy.
26
0.5
13
0.625
Bi-Weekly
33
V. Filing: Files all pay vouchers, reimbursement vouchers, and maintains individual
file for all Vendors.
52
0.64
33
1.58654
Weekly
37.5
VI. PCV Custody Control Log: Maintains safe keeping of personal items including
cash for all PCVs.
GRAND TOTAL
150
0.25
37.5
2080
0.625
1.58654
1.80288
As Needed
1.80288
100