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DisbursingFinance Analysis Training

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Are diary entries report? Are the waivers being tracked from submission to final disposition? ... Check Issue Reporting Procedures. Check Handling ... – PowerPoint PPT presentation

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Title: DisbursingFinance Analysis Training


1
Disbursing/FinanceAnalysis Training
  • Marine Corps Administrative Analysis Team

Revision Date 21 April 2004
2
Disbursing/Finance Internal Control Procedures
  • There are 14 Internal Control Areas for Finance
    Offices and 16 Internal Control Areas for
    Disbursing Offices

3
Internal Control Areas
  • Administrative Management
  • Internal Control Procedures
  • Fiscal Security
  • Public Funds Management
  • NAVMC 11116 Processing

4
Internal Control Areas
  • On-Line Diary
  • System Generated Reports
  • Non-Pay Status
  • Joinee Process
  • Separations Pay
  • Management

5
Internal Control Areas
  • Travel Management
  • TAD Travel
  • PCS Travel
  • Separations Travel
  • Split Pay (MEU)
  • Shore Patrol (MEU)

6
Administrative Management
7
Administrative Management
  • MOS Training
  • DTL Processing
  • Publications Messages
  • Paper or electronic copies
  • Retention
  • Internal Control and Desktop Procedures

8
Administrative Management
  • Waivers of Indebtedness
  • Is the waiver endorsed by the primary DO/FO only,
    and forwarded within 10 working days of receipt?
  • Are diary entries report?
  • Are the waivers being tracked from submission to
    final disposition?
  • Ref APSM Chapter 10

9
Internal Control Procedures
10
Internal Controls and Auditing Program
  • Performance is Effective, Efficient, and
    Economical
  • Management Policies are Adhered to
  • Laws and Regulations are Being Complied With
  • Unauthorized, Fraudulent or Otherwise Irregular
    Transactions or Activities are Being Prevented or
    Discovered

11
Internal Controls and Auditing Program
  • Separation of Duties
  • Checks Balances
  • Who has access to what? Are duties properly
    separated.
  • Option K Procedures
  • Is the report being printed and
    certified/verified on a daily basis?

12
Internal Control Procedures
  • PRA Audit Report
  • Receive Report Monthly (Part 1 2)
  • Work MOS 3402 3432 on Report
  • Audit, Validate and Annotate Report.
  • If errors are detected, what action is taken?
  • If fraudulent irregularities are detected, has
    the DO/FO notified the CO?
  • Retention (Current plus previous 3 months)
  • Ref APSM Chapter 9 par. 090409

13
Fiscal Security
14
Fiscal Security - Office
  • Access is Controlled During Non-working Hours
  • Restricted Working Areas are Properly Marked
  • Does the DO/FO have a functioning alarm system
  • Security Equipment is Inspected Semi-annually

15
Fiscal Security Fund Containers
  • Access to Vaults and Safes is Limited to
    Authorized Personnel
  • Security of U.S. Treasury Check Stock(s) on Hand
  • Fund Containers Requirements
  • Weight, combinations, and accountability info
  • Check Signing Devices and Plates are Kept in the
    Custody of Authorized Personnel

16
Fiscal Public Funds Management Public Fund
Authorization
  • Cash Approval at Personal Risk, Are The Requests
    Kept on File
  • Are Detailed Cash Handling Procedures Provided to
    Deputies and Agents
  • Signature Card(s) and Specimen Signatures for
    U.S. Treasury Checks Submitted to DFAS-KC
  • Letters of Revocation

17
Fiscal Public Funds Management U.S. Treasury
Checks
  • Control
  • Issuing Blank Checks (Working and Bulk)
  • Check Stock Inventory (once every 60 days)
  • Blank Check Control
  • Reporting
  • Timeliness
  • Check Issue Reporting Procedures

18
Check Handling
  • NAVMC 11119 Authorization on File for Personnel
    Signing for Checks or Signing Official Documents
  • Delivery is Effected Within Time Requirements
  • Cancellation on 61st day and credited to Marine
    or fund administrator
  • Check Handling Procedures, Verify Against the
    Check Transmittal

19
Fiscal Public Funds Management Deposit Activity
  • Separating Deposits
  • Deposit Activity Procedures
  • Cash in Excess Deposited
  • Promptly

20
Fiscal Public Funds Management Quarterly Cash
Verification
  • Report Information
  • date/time
  • cash on hand
  • supporting documents
  • Verification Intervals
  • Verifying Statement

21
Pay/NAVMC 11116 Processing
22
Pay NAVMC 11116
  • Review, Tracking and Timeliness
  • Processing Payments and Adjustments
  • One Work Day for Payments
  • Two Work Days for Adjustments
  • NAVMC 11116 Procedures
  • Retention Period (current plus two previous
    months)

23
Pay Non-Appropriated Fund Instrumentalities
  • Delinquent Debts
  • DPP/HLP
  • Phone, housing, trailer lot, etc.
  • Diary Reporting
  • Liquidation Schedule for Debts Exceeding 2/3
    Disposable Pay
  • Notification of Debt
  • NAFI Procedures

24
Pay On-Line Diary
  • Diary Retention (current plus two previous
    months)
  • Certifying Signature
  • Electronic Signature (ELSIG) Security
  • ECO ELSIG Responsibilities
  • User ELSIG change
  • Maintenance of ELSIG File

25
Pay System Generated Reports
  • Suspect Payment Listing (SPL)
  • Review and Retain (current plus 2 months)
  • Payroll Verification
  • SPL Procedures
  • Master Error Control File (MECF)
  • Types
  • Review and Retain (current plus 2 months)
  • Timeliness (3 working days)
  • MECF Procedures

26
Pay System Generated Reports
  • Advisory File (ADF) and Inconsistent Condition
    Report (ICR)
  • Review and Retain (current plus 2 months)
  • Timeliness (3 working days)
  • ADF/ICR Procedures

27
Pay Non-Pay Status
  • Unique Pay Status Transaction Report (UPSTR)
  • Extract and Retain (current plus 2 months)
  • Review All Entries
  • UPSTR Procedures APSM Appendix M
  • POE Verification
  • Leave Account Verification
  • Bond Allotment Verification

28
Pay Joinee Process
  • Reporting Elapsed Time
  • Is it Being Done Promptly Accurately
  • WCS Reporting
  • Is the Office Allowing One Day Travel Four
    Days Proceed (if entitled to Proceed)
  • Is the Office Verifying to See If The Travel
    Claim is Settled Prior to Reporting the WCS

29
Pay Joinee Process
  • BAH PCS
  • Is the DO/FO Making Adjustments
  • to the MMPA For Marines Entitled
  • to BAH PCS
  • Ref APSM Chapter 22

30
Pay-Joinee Process
  • Does the DO/FO Have Procedures in Place to
  • Conduct an Audit after the Elapsed Time has
    Posted to the MMPA.
  • The Audit May Be Accomplished Using the Various
    VIS Remarks, MECF,ADF
  • Ref APSM Chapter 11

31
Pay- Joinee Process
  • BAH PCS Example 1
  • Single E4 under 3 years Service Transfers From
    Camp Lejeune on April 1, 2004 and Reports to
    Quantico on April 30, 2004.
  • What Adjustment Must the DO/FO Make to the
    Marines MMPA?

32
Pay-Joinee Process
  • The Marine is Entitled to BAH I O/R at Zip 28540
    from April 1 April 29, 2004.
  • 538.00 divided by 3017.93333
  • 17.93333 x 29 days520.07
  • Report TTC 694 000 25016 520.07(4)20040429

33
Pay Joinee Process
  • BAH PCS Scenario 2 Single LCpl
  • Detached 040401 (OLD PDS Iwakuni, Japan)
  • Reported to 2nd FSSG on May 1, 2004
  • What is the Correct Entitlement to BAH PCS?

34
Pay Joinee Process
  • BAH PCS Scenario 2 Answer
  • The Marine is entitled to 30 days of BAH II O/R
  • 355.80 divided by 3011.86 x 30days355.80
  • Since this Marine is not an E4 over 4 years of
    service, the credit of BAH PCS must be done by
    the DO/FO.
  • Ref APSM Chapter 22

35
Pay Joinee Process
  • BAH PCS Scenario 3
  • A Single Sgt Transfers From MCRD San Diego on
    040401 and Reports to Cherry Point on 040429.
  • What is the Correct Entitlement to BAH PCS?

36
Pay-Joinee Process
  • BAH PCS Scenario 3 Answer
  • The Marine is Entitled to BAH I O/R at the Old
    PDS ZIP Code from 040401 thru 040428.
  • Since this Marine is a Sgt, the Transfer Entry
    Reported by Admin will Automatically Generate a
    BAH II O/R credit in MCTFS. The DO/FO is
    responsible to credit the correct amount.
  • Continued on next page

37
Pay-Joinee Process
  • BAH PCS Scenario 3
  • The Marine will have Received a BAH II O/R Credit
    in MCTFS of 417.00 divided by 3013.90x28days3
    89.20
  • The Marine is Entitled to BAH I O/R at the Old
    PDS ZIP. 1065.00 divided by 3035.50 x 28
    days994.00
  • The DO/FO must do a Misc Checkage of the BAH II
    and then do a Misc Credit for the BAH I O/R

38
Pay-Joinee Process
  • Additional Entitlements that must be reviewed
    during the Join Audit.
  • BAS/DMRWas DMR started on the correct date (join
    date)
  • OCONUS Cola, did it stop on the correct date
  • (the transfer entry stops OCONUS Cola, if the
    transfer entry was wrong, then the DO/FO will
    have to adjust

39
Separations Processes
40
Separations Management
  • NAVMC 11060
  • Review and Tracking
  • Timeliness
  • Zero Balancing Separations
  • (must be zero balanced within 90 days)
  • Transmittal of 11060s
  • Submission
  • Transmittal Separation
  • Grouping
  • Cases Per Transmittal
  • Separations Management Procedures
  • DD 214 Endorsements for disability severance/seps
    pay

41
Separations Entitlements and Deductions
  • NAVMC 11021 DAS Processing
  • MCTFS Review
  • Is the DO/FO Reviewing Printing the TRS Remark
    Summary (Category W) prior to Certification of
    the Separation Payment
  • Allotment Processing
  • Stop Alls
  • Retirees
  • G or T Allotments
  • Separations Prior to ECC in an Overpaid Status

42
Separations Entitlements and Deductions
  • Final POE Reporting
  • Miscellaneous Credit/Debit Reporting
  • Zero Balance
  • Adjustments
  • Supplemental DAS
  • Indebtedness Upon Separation is Recouped from
    Travel Payment

43
Separations Entitlements and Deductions
  • Outstanding Travel Advances
  • Notification of Unreconciled Advance
  • Navy Marine Corps Relief Society Loans
  • Returned Payment Procedures for Separations

44
Travel Processes
45
Travel Management
  • Voucher Processing
  • - TAD 5 Working days (Tan 5-00)
  • - PCS 10 Working days
  • Travel Claim Review
  • Travel Claim Retention
  • Random Audit
  • Mandatory Split Disbursement
  • - MarAdmin 515-03

46
Travel Management (cont)
  • Classified Orders Processing
  • SRD-1 Processing
  • - Are procedures in place to ensure
    compliance with RFL policy letter dtd 29 June
    2001?
  • MCTIR Files
  • - Have they all properly posted?

47
Temporary Additional Duty Travel
  • Modification or Block 21a (DODFMR Vol 9)
  • Authorized Expenses
  • TAD Leave
  • Payment Timeliness/ Computation
  • Non-Card Holder Advances 80 MIE, 100 known
    costs
  • TAD Excess Advance Limitation, Partial
    settlements (30 days)
  • POV Advantageous MALT, 100 round trip

48
Permanent Change of Station Travel
  • PCS/TEMINS (45 Days) ET Reporting
  • DITY Move (Local) Tax Reporting
  • - TAN 18-02
  • PCS Advance Timeliness
  • TLE Computations

49
Elapsed Time Computation
  • Proper Format
  • The Periods of each Leg of Travel must be
    Reported in the Sequence in Which they Occur.
  • Example Proceed, Delay, Travel
  • Ref APSM Chapter 22

50
Elapsed Time Computation
  • Example 1
  • Overseas/Mixed Mode
  • Single Cpl over 2 years service
  • Det April 1 2004 (GP)
  • Arrive 4/1 LAX (AT)
  • Det LAX (CP)
  • Arrive 4/2 Kansas City, MO (LV)
  • Det 4/20 (PA)
  • Arrive 4/25 Camp Lejeune (MC)
  • -1199 Miles (4 days travel)

51
Elapsed Time Computation
  • Det 0001 20040401
  • PR 04 20040402-20040405
  • DE 15 20040406-20040420
  • TR 05 20040421-20040425
  • 2359/20040426

52
Elapsed Time Computation
  • Example 2
  • CONUS
  • Married E-3 (DOM 040422)
  • Det 4/1 DFAS KC (PA)
  • Arrive 4/5 Biloxi, MS (LV)
  • Det 4/23 (PA)
  • Arrive 4/26 CLNC (MC)
  • -1199 Miles (4 days travel)

53
Elapsed Time Computation
  • Example 2
  • Is the Marine Entitled to Proceed?
  • What is the Marines Effective Date of Orders?
  • Does the Marine Rate Depn Travel? If so, Does he
    Rate Depn Tvl from Kansas City, or Biloxi, MS?
  • Continued on next slide

54
Elapsed Time Computation
  • Example 2
  • Yes, the Marine is Entitled to Proceed. The
    Marine was Married prior to his Effective Date of
    Orders.
  • Effective Date of OrdersApril 23, 2004
  • The Marine Rates Depn Tvl not to Exceed DFAS KC
    to CLNC (Biloxi-CLNC 836 Miles)

55
Separations Travel
  • Seps Advance Timeliness
  • Seps Travel Claim Instruction Package
  • Seps Suspense File
  • Advances for Retirees
  • Timeliness
  • Seps Travel Settlement Indebtedness
  • Offsetting Indebtedness of Discharge Account
    Summary
  • MMPA Collection

56
COMMON ERRORS
  • Elapsed Time Reporting/Computations
  • TLE Computations
  • BAH PCS (Joinee Process)
  • Internal Control Procedures Option K
  • Separation of Duties
  • PCS Travel

57
Summary
Think of something later?..Email MCAAT-East via
our website at www.lejeune.usmc.mil/mcaat
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