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Navy Cash Standard Operating Procedures - Financial Management ...

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Working Draft8.4.27 Safe Bank Transactions................................................................................... 8-838.4.28 Operator ID Maintenance ............................................................................... 8-858.4.29 Vending and Ship’s Store—Vending Maintenance and End of Month..........8-878.4.30 Event Maintenance..........................................................................................8-968.4.31 View Log ......................................................................................................8-1008.4.32 View Disk Usage ..........................................................................................8-1018.4.33 Network Operations Center (NOC) Selection ..............................................8-1028.4.34 Process Split Pay File....................................................................................8-1038.4.35 Provisional Split Pay.....................................................................................8-1088.4.36 Access Editor–Access Control for <strong>Navy</strong> <strong>Cash</strong> Application .........................8-1128.5 <strong>Navy</strong> <strong>Cash</strong> and Vendors........................................................................................ 8-1198.5.1 Money Exchange by Vendors in a Foreign Port........................................... 8-1198.5.2 Concessionaire Sales by Vendors in a Foreign Port ..................................... 8-1228.5.3 Creating New Merchants In <strong>Navy</strong> <strong>Cash</strong> ....................................................... 8-1248.6 Miscellaneous Payments to <strong>Navy</strong> <strong>Cash</strong> Card......................................................8-1258.7 Collections from Portable K22 Point of Sale Devices ........................................8-1258.8 Electronic Transfers Dishonored and Returned ................................................ 8-1258.8.1 Negative <strong>Navy</strong> <strong>Cash</strong> Balance........................................................................8-1268.8.2 Blocking and Unblocking Access to Home Accounts..................................8-1308.9 EOM Reconciliation and Reporting of eFunds in Disbursing Officer’s Safe ..8-1328.10 Sample Disbursing Forms..................................................................................... 8-1388.10.1 DD 2657, Daily Statement of Accountability...............................................8-138NC SOP Ver 1.12 Chpt 8 Disbursing.doc 8-3 8.16.2007Working Draft

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