Page 151 - Area X - D
P. 151

Part i- Administrative Manu^l

                    4.3.84. Disbursements shall be covered by a "disbursement voucher and obligations are paid either by check
                          or In cash;
                    4.3.8.5. Payments by checks are those obligations which are due to creditors for payment of deliveries of
                          supplies and services, advertisements, newspapers subscriptions, traveling expenses, seminar fees,
                          regular expenses such as light and power, telephone bills and other obligations payable to other
                          agencies;
                    4.3.8.6.Checks Issued Including those which are cancelled or voided are recorded chronologically in the
                          report of checks Issued and cancelled and these reports are prepared monthly and by funds;
                    43.8.7.Payments by way of the ATM are those obligations such as salaries and wages, commutable
                          allowances and in some instances, payments of honoraria and other similar compensation benefits;
                    43.8.8.No payment of any nature shall be received by a collecting officer without immediately issuing an
                          official receipt in acknowledgment thereof;
                     43.8.9.~Vne cashier  shall deposit all intact collections as well as collections turned over to him/her by
                          designated collectors with the authorized depository bank daily or as the need so requires;
                     43.8.10.The cashier should prepare a report of collections and deposits and a copy of the report shall be
                            submitted to the Accounting Office;
                     43.8.11.The cashier shall also record in the cash book all collections received. The cash in treasury
                            account shall be debited with the collections received, and credited with the collections deposited
                            with the authorized depository bank; and
                     43.8.12.The Cash Section shall submit the following to the Accounting Section:
                    43.8.12.1.Reports of checks Issued and cancelled - RCIC - All Funds - 101,161, 164(3), Special Trust
                                Fund, Income Generating Projects and Trust Funds, MDS (A/P) on or before every  last
                               working day of the month;
                    43.8.12.2.Reports of collection and deposit - RCD 101, 161, Special Trust Fund, Income Generating
                                Projects and Trust Funds not later than the last working day of the month;
                    438.12.3.Completed accountable forms to be submitted to COA every month; and
                    438.12.4.RCIC, RDDO, RCD shall also be submitted to COA.
                     43.9. Reports
                                 The University shall submit the required reports to the different government agencies in
                          accordance with existing guidelines set forth, as follows:
                     43.9.1. Department of Budget and Management:

                     43.9.1.1.MONTHLY REPORTS- On or before the 10th day of the following  month unless otherwise
                             specified;
                     43.9.1.1.1.Pre-closing Trial Balance - Fund 101
                     43.9.1.1.2.Statement of Allotment Obligations and Balances- Fund 101
                     43.9.1.1.3.Charges to Accounts Payable (BAF 305) - Fund 101
                     43.9.1.1.4.Monthly report of disbursements.
                     43.9.1.2.QUARTERLY REPORTS- On or before the 10"1 day of the following month unless otherwise
                              specified;
                     43.9.1.2.1.Statement of Allotment Obligations and Balances - By Project - Fund 101
                     43.9.1.2.2.Report of Actual Income - Fund 164
                    • 43.9.1.23.  Quarterly financial report of operations
                     43.9.1.2.4.   Physical report of operations
                     43.9.1.3.ANNUAL REPORTS - On or before the 14th day of February of the  following year  untess
                              otherwise specified;
                     43.9.13.1.Pre-closing Consolidated Trial Balance
                |-T  43.9.1.3.2.Statement of Accounts Payable (BAF 04) Fund 101
                I   43.9.133.Post-closing Consolidated Trial Balance
                I   43.9.13.4.Statement of Operations


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