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Annex 1: Cash Custodian Appointment Form

CASH CUSTODIAN APPOINTMENT FORM Date: To: Cash Custodian (insert name and Designation/Title) From: Head of Office [insert name , Country Office] Subject: APPOINTMENT OF CASH CUSTODIAN FOR (check appropriate type of cash arrangement): PCF_______PPCF________PCH________PCA_________ You are hereby appointed as the Custodian for the amount of ________ (United States Dollars) or _________ (local …

Content Type: Document Document Type: Template

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Annex 2: Cash Register

Sheet1 Cash Register ANNEX 2 (CO Name or Project Office Name) Note: please use Password Control (mark X for appropriate cash arrangement): Prepared by: (name/title) Reviewed/certified by: (name/title) PCF [ ], established on dd/mm/yyyy PPCF [ ], established on dd/mm/yyyy Currency: (currency code) PCH [ ], established on dd/mm/yyyy COCS [ ], established on dd/mm/yyyy Final issue date: Date Opening …

Content Type: Document Document Type: Template Policy Area: Financial Resources Management Policy Chapter: Cash Banking and Investment Policy Sub-Chapter: Cash Arrangement Policy: Project Petty Cash Fund (PPCF)

Annex 3: Cash Count Form

Sheet1 Cash Count Form ANNEX 3 (CO Name or Project Office Name) Currency (provide the currency code) (mark X for appropriate cash arrangement): Counted by: (name/title) Witnessed by: (name/title) PCF [ ], established on dd/mm/yyyy Certified by: (name/title) PPCF [ ], established on dd/mm/yyyy PCH [ ], established on dd/mm/yyyy COCS [ ], established on dd/mm/yyyy Physical counting date: …

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Annex 4: Annual Certification for Cash Arrangements, Assessment, and Safe Contents

ANNEX 4 Annual Certification for Cash Arrangements, Assessment, and Safe Contents PCF______PPCF______PCH______COCS______(check all applicable arrangements) For fiscal period ending: dd/mm/yyyy UNDP (enter office name) ***************************************************************************** A. CASH ARRANGEMENTS CERTIFICATION This section is to certify that during calendar year 20XX : …

Content Type: Document Document Type: Template Policy Area: Financial Resources Management Policy Chapter: Cash Banking and Investment Policy Sub-Chapter: Cash Arrangement Policy: Project Petty Cash Fund (PPCF)

Annex 6: Project Cash Advance Status Monitor

Sheet1 Project Cash Advance Status Monitor ANNEX 6 CO Name Request Date Authorized Date Project Duration Required Closure Date Currency Amount USD Equivalent PCA Custodian Name Contract Status & Index # Purpose for PCA Closure Status (Use CO Code) mm/dd/yy mm/dd/yy mm/dd/yy-mm/dd/yy (7 day rule) (ISO Code) (Use Proj. #) (closing date) Notes: 1. Required closure date is 7 days after the last day …

Content Type: Document Document Type: Template Policy Area: Financial Resources Management Policy Chapter: Cash Banking and Investment Policy Sub-Chapter: Cash Arrangement Policy: Project Cash Advance (PCA)

Annex 7: PCA Reconciliation Schedule

Sheet1 Project Cash Advance Reconciliation Schedule ANNEX 7 Prepared by: Reviewied and Certified by: Prepared date: Date: Quarter-end date Actions to be taken Balance in GL 16007 16108 per AAA Report 200,000.00 Oustanding PCAs: Proj. no/Custodian name 50,000.00 To be closed by mm/dd/yy Proj. no/Custodian name 40,000.00 Project cancelled. To be closed by mm/dd/yy Proj. no/Custodian name 60,000.00 …

Content Type: Document Document Type: Template Policy Area: Financial Resources Management Policy Chapter: Cash Banking and Investment Policy Sub-Chapter: Cash Arrangement Policy: Project Cash Advance (PCA)

Content Type: Policy Page Effective Date: 01-01-2012 Planned Review Date: 31-12-2025 Policy Area: Financial Resources Management Policy Chapter: Cash Banking and Investment Policy Sub-Chapter: Cash Management

Bank Account Reconciliation

Bank Account Reconciliation 1. The Bank Reconciliation process enables the verification of entries on the bank statement by reconciling that information with external transactions and also system generated transactions in Payables, Receivables, Payroll and General Ledger. During the bank reconciliation process external transactions can be created for bank originated entries such as bank charges …

Content Type: Document Document Type: Policy Effective Date: 01-01-2012 Planned Review Date: 31-12-2025 Policy Area: Financial Resources Management Policy Chapter: Cash Banking and Investment Policy Sub-Chapter: Cash Management Policy: Bank Account Reconciliation

Cash Arrangements Petty Cash Fund for Management Project (PCF) Accounting for PCF

Accounting for PCF 1. AP non-PO Voucher for initial funding and subsequent replenishment for PCF: Debit GL Account: 16105 - Petty Cash Fund_PCF Credit GL Account 11005 - Cash Operating Unit: CO’s operating unit Fund Code: 00001 for GL acct 16105 always Department: Respective department Project ID: (management project, if applicable) Impl. Agent: As appropriate Donor: As appropriate Open Item Key: …

Content Type: Document Document Type: Template Policy Area: Financial Resources Management Policy Chapter: Cash Banking and Investment Policy Sub-Chapter: Cash Arrangement Policy: Petty Cash Fund for Management Project (PCF)

Cash Banking and Investment : BOA Signature Card

00-35-5707NSBW 05-01-2019 AR Page 1 of 1 Bank of America – Conf iden t ia l © 2019 Bank of America Corporation Deposit Account Documentation Amendment to Signature Card (Add/Delete Designated Account Signer(s) Only) I. Account Information Account #: Account Holder Legal Name: (Must match exact name on Formation Documents) II. Designated Accounts Signers Add or Delete Printed Name Signature Signer …

Content Type: Document Document Type: Template Policy Area: Financial Resources Management Policy Chapter: Cash Banking and Investment Policy Sub-Chapter: Banking Arrangement Policy: Designation and Responsibilities of Signatories