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Navy Cash Standard Operating Procedures - Financial Management ...

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Working Draft(8) The TFA will credit the amounts indicated in the file to the individual Marines’<strong>Navy</strong> <strong>Cash</strong> accounts. (At this point, the TFA has credited value into the <strong>Navy</strong> <strong>Cash</strong> system, butno corresponding value has been deposited in the <strong>Navy</strong> <strong>Cash</strong> funds pool.)(9) The SF 5515 sent via e-mail to FRB Boston authorizes the transfer of fundsfrom the FRB to the TFA. FRB Boston will enter the 5515 into <strong>Cash</strong>Link, which will debit theDisbursing Officer’s DSSN. FRB Boston will credit (via wire or ACH) the funds pool account atTFA in an amount equal to the 5515 debit voucher.The routing number and account number for the <strong>Navy</strong> <strong>Cash</strong> funds pool are:ABA Routing Number: 021000021Account Number: 323152589(10) The USMC Disbursing Officer will subsequently validate the SF 5515 amountby reviewing <strong>Cash</strong>Link reports.(11) FRB Boston will subsequently validate the e-mailed image of the 5515 whenthe hard copy arrives by mail.NC SOP Ver 1.12 Chpt 8 Disbursing.doc 8-107 16-Aug-07

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