Treasurer

  • Attend all Board and General Meetings.
  • Attend PTA and the Law each year.  Attend other trainings offered through Region, State, etc as necessary.
  • Assist in identifying activity and committee chairs, for those activities under your area of responsibility.
  • Provide monthly newsletter items to keep membership informed of your area of responsibility (ie, budget and spending summary).
  • Ensure each activity chairperson/volunteer is trained for their specific area of responsibility and has whatever resources he/she needs to work effectively.
  • Present a Treasurer’s/Budget Report at each Board and General Meeting for approval.  This needs to be done monthly, even over the summer when there are no meetings.
  • Provide all financial records if requested by President, Executive Team, or Financial Review Committee.
  • Close books on June 30th and submit for review as necessary.
  • Keep a record of membership and service fees received, forwarding appropriate proportions to Council, Region, State, and National as necessary.
  • Establish and maintain Tax Exempt Status.
  • Receive all funds for PTSA, including expedient transfer of any funds collected by other members.  Keep accurate and detailed records.
  • Deposit funds promptly into PTSA bank accounts.  Always leave $500 in checking.  Collect receipts and any other pertinent forms, etc for each income and expense.  Ensure the checks or funds are given promptly to recipients.
  • Balance monthly bank statements immediately upon receipt.
  • Refer to Policies and Procedures sheets for specifics on timeliness, necessary documentation, and/or other steps necessary.
  • Request assistance from State PTA office or service area representatives as needed.