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Navy Cash Standard Operating Procedures - Financial Management ...

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8.15.22 <strong>Cash</strong> Verification Team <strong>Navy</strong> <strong>Cash</strong> Checklist (continued)TasksSOPReferenceYesNo<strong>Navy</strong> <strong>Cash</strong> ApplicationEnsure the duty Supply/IT/ET is performing the EOD function at the end ofthe business day on non working days.8.4.24Ensure the Disbursing Officer is reviewing the Negative Balance Report andthe Returned Items Detail Report on a daily basis.8.8.1Ensure amount of negative balance is collected within 10 working days ofreceipt of initial Negative Balance Report?8.8.1Ensure <strong>Navy</strong> <strong>Cash</strong> access to home bank or credit union account remainsblocked as long as <strong>Navy</strong> <strong>Cash</strong> account balance is negative.8.8.1Ensure all negative <strong>Navy</strong> <strong>Cash</strong> account balances are cleared or in process ofbeing cleared within 30 days of initial appearance on report?8.8.1Ensure personnel office is providing disbursing office with the names of thosepersonnel who will be transferred or discharged within the next 30 days.8.8.1Ensure original SF 215/5515 is being placed in the retained returns. 8.9Ensure Safe Bank Transactions Report is being zeroed out at end of month. 8.9nc sop ver 1.12 chpt 8 disbursing.doc 8-183 16-Aug-07

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