Tax day procedures
- Each student completes the tax form to determine the amount of taxes he or she owes.
- The student enters that amount as a withdrawal in his or her bank log.
- The student takes the bank log and tax form to the Banker to verify the amounts.
- The Banker verifies the tax amount and makes sure the bank logs match.
PAY DAY, FINE DAY, BILL DAY, & AUCTION DAY