CHAPTER THREE | |
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C. LOAN PAYMENTS 1. Sample Passbook 2. Sample Transfer Report 3. Cash Handling 4. Posting Receipts In earlier chapters you learned how to form Credit Groups and approve loans. Once funds have reached your customers, the repayment cycle begins. (1) Sample Passbook
The Group Treasurer is responsible
for collecting and recording
payments from borrowers.
Borrowers want a receipt for the
payment and want to see the
payment in the Group Treasurer's
records. Two simple forms can
accomplish these tasks.
Passbook
|
Group Name | Rising Star | Payment | $12.00 | |||
Name | Maylin Ton | Every | Wed | |||
Loan Amount | $100.00 | Until | 21 May | |||
Payment | Date due | Total Due | Date paid | Total Paid | Balance | Initials |
Disb. | 1 -Jan-97 | zero | 1-Jan-97 | zero | 120.00 | RR MT |
1 | 15-Jan-97 | 12.00 | 15-Jan-97 | 12.00 | 108.00 | RR MT |
2 | 29-Jan-96 | 12.00 | 29-Jan-97 | 12.00 | 96.00 | RR MT |
3 | 12-Feb-97 | 12.00 | 12-Feb-97 | 12.00 | 84.00 | RR MT |
4 | 26 Feb-97 | 12.00 | 29-Feb-97 | 12.00 | 72.00 | RR MT |
5 | 12 Mar-97 | 12.00 | 12 Mar 97 | 12.00 | 60.00 | RR MT |
6 | 26 Mar-97 | 12.00 | 29 Mar 97 | 12.00 | 48.00 | RR MT |
7 | 9 Apr-97 | 12.00 | 11 Apr 97 | 12.00 | 36.00 | RR MT |
8 | 23 Apr-97 | 12.00 | 23 Apr 97 | 12.00 | 24.00 | RR MT |
9 | 7 May 97 | 12.00 | 7 May 97 | 12.00 | 12.00 | RR MT |
10 | 21 May 97 | 12.00 | 21 May 97 | 12.00 | 00 | RR MT |
Please see attachment VIII of the Tool Kit for forms. |
BORROWER'S NAME | PAYMENT | DATE |
1. Maylin Ton | $12.00 | 12 Mar 97 |
2. Tim Lee | $12.00 | 12 Mar 97 |
3. Uma Batsumi | $12.00 | 12 Mar 97 |
4. Tony Cedras | $12.00 | 12 Mar 97 |
5. Baki Yaga | $12.00 | 12 Mar 97 |
Total Payment Collected | $60.00 | |
Total Deposited | $60.00 | 12 Mar 97 |
Transferred to Field Agent | $60.00 | 16 Mar 96 |
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