A.制定庫存現(xiàn)金盤點(diǎn)程序,并實(shí)施突擊性的檢查
B.若在資產(chǎn)負(fù)債表日后進(jìn)行盤點(diǎn),應(yīng)將實(shí)際盤點(diǎn)數(shù)調(diào)整至資產(chǎn)負(fù)債表日的金額
C.將盤點(diǎn)金額與庫存現(xiàn)金日記賬余額進(jìn)行核對(duì)
D.盤點(diǎn)保險(xiǎn)柜的現(xiàn)金實(shí)存數(shù),同時(shí)編制"庫存現(xiàn)金盤點(diǎn)表"