At   Reyes Company, checks are not prenumbered because both the purchasing   agent and the treasurer are authorized to issue checks. Each signer has   access to unissued checks kept in an unlocked file cabinet. The   purchasing agent pays all bills pertaining to goods purchased for   resale. Prior to payment, the purchasing agent determines that the goods   have been received and verifies the mathematical accuracy of the   vendor's invoice. After payment, the invoice is filed by vendor and the   purchasing agent records the payment in the cash disbursements journal.   The treasurer pays all other bills following approval by authorized   employees. After payment, the treasurer stamps all bills "paid," files   them by payment date, and records the checks in the cash disbursements   journal. Reyes Company maintains one checking account that is reconciled   by the treasurer.
  
Instructions
(a) List the weaknesses in internal control over cash disbursements.
(b) Identify improvements for correcting these weaknesses.

Instructions
(a) List the weaknesses in internal control over cash disbursements.
(b) Identify improvements for correcting these weaknesses.
 
