Kan. Admin. Regs. § 112-108-33 - Procedures for recording manual table credits
(a) Three-part manual credit slips shall be
used to record the transfer of chips from a gaming table to the cage. The
credit slips shall be sequentially numbered by the vendor. The alphabet shall
not be required to be used if the numerical series is not repeated during the
calendar year. Chips shall not be transported unless accompanied by a credit
slip.
(b) The inventory of
nonissued credit slips shall be maintained by the facility manager's accounting
or security department. The accounting department shall be responsible for the
initial receipt of manual credit slips.
(c) If a table game supervisor or table game
manager determines that a table credit is required, a three-part order for
credit shall be completed in ink by entering the following information:
(1) The amount by denomination of chips
needed;
(2) the total
amount;
(3) the game or table
number and pit;
(4) the date and
time; and
(5) the signature of the
manager or supervisor.
(d) The table game supervisor or the table
game manager shall keep one copy of the order for credit on the table and take
the other copy of the order for credit to the pit stand. The pit stand employee
shall record that copy in the pit paperwork log and then return the copy to the
table. The table game manager shall give a copy of the order for credit to a
security department employee, who shall take it to the cashier's cage, where
the cashier shall prepare a three-part credit slip in ink by entering the
following:
(1) The chip
denomination;
(2) total
amount;
(3) game or table number;
and
(4) time and date.
(e) The security department
employee shall take the credit slip to the gaming table. A copy of the order
for credit shall be retained at the cage.
(f) The dealer or boxperson shall count the
chips in full view of a security department employee and either the table game
supervisor or an employee in a higher position. The count shall be conducted in
full view of cameras connected to the surveillance department.
(g) The dealer or boxperson and the table
game supervisor shall verify the chips against the credit slip, and the credit
slip against the order for credit. The dealer or box-person and the table game
supervisor shall sign the credit slip and the order for credit. The security
department employee shall verify the chips against the order for credit, sign
the order for credit and the credit slip, and receive the chips in a clear chip
carrier. The security department employee shall carry the chips and the credit
slip back to the cashier's cage. A copy of the order for credit shall be
retained at the table until a copy of the credit slip is returned.
(h) The cashier's cage employee shall receive
the credit slips and the chips from the security department employee and verify
that the chips match the order for credit and credit slip. The cashier's cage
employee shall then sign the credit slips and the order for credit. The
cashier's cage employee shall time- and date-stamp the credit slips. Unless
otherwise approved by the commission, a copy shall remain unbroken in the
locked form dispensing machine. The order for credit shall be attached to a
copy of the credit slip and be retained by the cashier's cage.
(i) The copy of the credit slip issued by the
cashier's cage shall be taken back to the table by the security department
employee. The table game supervisor and the dealer or boxperson shall compare
the copy of the credit slip to the order for credit. The table game supervisor
shall observe the dealer or boxperson deposit the order for credit slip and the
credit slip in the table drop box.
(j) The copies of the credit slips, with the
copies of the order for credit attached, shall be transferred to the main bank.
The main bank cashier shall run a tape on the credit slips and verify the total
against the amount in the automated accounting system.
(k) The locked copies of the manual credit
slips shall be removed from the machines by the accounting
department.
(l) If a credit slip
needs to be voided, the cage cashier shall write "VOID" and an explanation of
why the void was necessary across the original and all copies of the credit
slip. Both the cashier's cage employee and either a security department
employee or another level II employee independent of the transaction shall sign
the voided credit slip. The voided credit slips shall be subsequently
transferred to the accounting department and retained.
(m) Corrections on manual table fill or
credit shall be made by crossing out the error, entering the correct
information, and then obtaining the initials and commission license numbers of
at least two cashier's cage employees.
(n) Each accounting employee who makes
corrections shall initial and note that employee's commission license number on
the request.
Notes
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