The Cash Accounting Department of the West Virginia State Treasurer’s Office is responsible for providing state spending units with proper and efficient cash handling guidelines while also managing cash receipts, state bank account reconciliations, stop payments, imprest funds, and outside bank accounts. We also assist in providing various deposit supplies and services through our banking contracts which creates efficiencies in reporting and cash management.
Cash Accounting Guides
Imprest Fund Information and Forms
Outside Bank Account Information and Forms
Depository Information and Forms
Forgery & Fraud Information and Forms