Kan. Admin. Regs. § 112-108-50 - Procedures for monitoring and reviewing game operations
(a) Each facility manager shall establish
procedures for monitoring and reviewing daily table games transactions for the
following activities:
(1) Table
games;
(2) gaming facility
cashiering;
(3) currency
transaction reporting;
(4)
sensitive key access; and
(5)
reconciliation of numerical sequence of forms used, matching and reviewing all
copies of forms, matching computer monitoring system reports with actual fill
and payout forms, and examination of voided forms.
(b) The procedures in subsection (a) shall
include a description of the computation of the unredeemed liability and the
inventory of chips in circulation and reserve.
(c) Each facility manager shall establish
procedures for the documentation of resolving questions raised during the
review and monitoring of daily gaming transactions.
(d) Each facility manager shall establish
procedures for the documentation of the criteria for determining deviations
from expected results of gaming operations that require further investigations
and the procedures for conducting and recording the results of such
investigations. This shall include the notification of a commission
agent.
(e) The accounting
department shall perform a monthly general ledger reconciliation of the
following:
(1) Adjusted gross
receipts;
(2) cage
accountability;
(3) chip liability;
and
(4) progressive jackpot
liability.
(f) Each
gaming facility's accounting department shall review on a weekly basis the
master game report for any unusual variances from the prior week.
(g) The accounting department for each
facility manager shall perform daily audits of the following:
(1) Table games;
(2) cashier's cage;
(3) player tracking; and
(4) any other areas deemed appropriate by the
executive director.
(h)
The daily audits specified in subsection (g) shall indicate the individual
performing the audit and the individual reviewing the audit
performed.
(i) Table game
procedures shall be performed daily for both computerized and manual forms and
shall include, at a minimum, the following:
(1) Trace table game fills and credit slips
originals to duplicate copies and to orders for fill and credits to verify
agreement;
(2) review the table
game fills and credit slips for the proper number of authorized signatures,
proper date or time, and accurate arithmetic;
(3) review all voided table game fills and
credits for appropriate handling and required number of authorized signatures.
Ensure that all appropriate forms are attached;
(4) verify that credits and fills are
properly recorded for the computation of win;
(5) trace opening drop cards to the previous
shift's closing inventory slip to verify agreement and test for completeness
and propriety;
(6) trace the detail
from the master gaming report into the accounting entries recording the
transactions and to the total cash summary; and
(7) perform any other procedures deemed
necessary by the executive director.
(j) All variances or discrepancies in the
daily audits specified in subsection (g) shall be investigated, recorded, and
reported to the head of the accounting department or equivalent position. The
investigation information shall be made available upon demand by the commission
staff.
Notes
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