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Navy Cash Standard Operating Procedures - Financial Management ...

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Working Draft8.4.29 Vending and Ship’s Store—Vending Maintenance and End of MonthThe “Vending and Ship’s Store” link in the <strong>Navy</strong> <strong>Cash</strong> application is used to:• Add, change, or remove a CAD or vending machine or modify the description of a vendingmachine, actions which are described under “Vending Maintenance” below.• Close out the vending machines and the ship’s store at the end of the month or at the end of aspecified period, actions which are described under “End of Month” below.a. Vending Maintenance(1) <strong>Navy</strong> <strong>Cash</strong> “ties” or “links” specific CADs to specific vending machines in the<strong>Navy</strong> <strong>Cash</strong> system database so that sales transactions are credited to the correct merchant. The<strong>Navy</strong> <strong>Cash</strong> application requires that each CAD be identified by a unique CAD Terminal IDnumber. Whenever a CAD is added, changed, or removed, it must be linked within the <strong>Navy</strong><strong>Cash</strong> application as discussed in the following subparagraphs.NC SOP Ver 1.12 Chpt 8 Disbursing.doc 8-87 16-Aug-07

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