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Res 90-013 "'",: I~ 0072.03005 JDW/naa 01/16/90 RESOLUTION NO. 90-13 A RESOLUTION OF THE CITY COUNCIL OF THE CL'I'Y OF FEDERAL WAY, WASHINGTON, AUTHORIZING THE CITY MANAGER OR THE MANAGER'S DESIGNEE TO MAKE EARLY PAYMENT OF CLAIMS AND AUTHORIZING PETTY CASH FUNDS. WHEREAS, it is in the best interest of the ci ty to provide a process for early payment of claims to take advantage of early paYment discounts, and WHEREAS, there is also a necessity to establish petty cash funds, NOW, THEREFORE, THE CITY COUNCIL OF THE CITY OF FEDERAL WAY, WASHINGTON, DO RESOLVE AS FOLLOWS: section 1. The City Manager or the Manager's designee may issue warrants or checks in payment of claims prior to City Council approval of those claims, subject to the following conditions: A. The city Manager or the Manager's designee shall have furnished an official bond for the faithful discharge of their duties in an amount not less than $50,000, which bonding requirement may be satisfied by the posting of any other bonds required by State law or City ordinance to assure faithful ./ /" . I.' performance of the person's dut~es .,'. . . '\, B. The c~ty Counc~l shall have available for its review at its next regularly scheduled public meeting the documentation supporting claims paid and the listing of all JDWO0722R -1- c ø p, j.. " checks and warrants issued prior to City Council review. C. If, upon review, the city Council disapproves any claim, the City Manager or the Manager's designee shall cause the disapproved claims to be recognized as receivables of the city and to pursue collection diligently until the amounts disapproved are collected or until the City Council is satisfied and approves the claim. The city Manager or the Manager's designee ,section 2. is authorized to establish and maintain necessary petty cash funds as deemed appropriate. Such individual petty cash fund shall not exceed the sum of $500, with expenditures from each such fund to be separately accounted for in accordance with recommended procedures of the State Auditor's office. RESOLVED this 23rdday of January, 1990. APPROVED: BC_ÁL ~ MAYOR, DEBRA ERTEL ATTEST/AUTHENTICATED: ~~~L CITY CLERK, ELORES A. MEAD FILED WITH THE CITY CLERK: PASSED BY THE CITY COUNCIL: RESOLUTION NO. 90-13 January l6.... 1990 January 2-,,1990 \.' ., \ JDWO0722R -2- C I T Y 0 F FEDERAL WAY POLICY & PROCEDURE Subject: Index: FINANCE PETTY CASH Number: 210-01 Effective Date: Supersedes: Page ,Of Prepared by: Approved by: 1 2 W. E. Bennett 1.0 PURPOSE: To establish policy guidelines for use of petty cash funds and procedure for reimbursement of city expenditures. 2.0 ORGANIZATIONS AFFECTED: All departments/divisions. 3.0 REFERENCES: Resolution No. 90-13. 4.0 POLICY: 4.1 Employees may receive an advance or be reimbursed for the purchase of minor maintenance and operating supplies, meals and charges made on behalf of the city. 4.2 Only expenses amounting to $30.00 or less will be reimbursed through petty cash. Expenses in excess of $30.00 will be reimbursed by completing a claims for expenses form for inclusion with the next claims process. 4.3 In an emergency, the Finance Director or an authorized representative of the Finance Department may approve an expenditure reimbursement for more than $30.00. 4.4. Petty cash funds may be established by the City Manager. "- I,t, " '\ Page 1 , . 4.5 4.6 5.0 210-01 PETTY CASH 4.4.1 Department heads who request petty cash shall sign a receipt from Finance and become responsible for the funds. Custodial responsibility within the department may be delegated by the department head, and the custodian will have the following duties: 1. Issues advances or reimbursements upon presentation of request form, as per Exhibits 1 and 2 attached, or bill. 2. Obtains bill for actual expenditure to replace request form. 3. Encodes bills with the proper expenditure account number 4. Reconciles petty cash not less than once per month. 5. Submits reimbursement request in accordance with procedure 6.2. Receipts must be submitted as soon as possible, but in no event should it be more than 30 days after the expenditure. No personal checks will be cashed out of a petty cash fund. 6.0 DEFINITIONS: Not applicable. 6.1 PROCEDURE: 6.2 To be reimbursed, the employee must complete and sign a petty cash request form together with paid receipts or other evidence of payment. To replenish the petty cash fund, the custodian of each fund will request reimbursement through the claims process. This must be done at least once a month. A request form (as per sample attached) will be completed and all individual petty cash slips and receipts must be attached. - " \,( ,,' '\ Page Two EXHIBIT 1 CITY OF FEDERAL WAY PETTY CASH CLAIM FOR PERSONAL EXPENSES Date: Nature of Expense: Amount: $ CERTIFICATION I hereby certify, under penalty of perjury, that this is a true and correct claim for necessary expenses incurred by me and that no payment has been received by me on account thereof. Signed: Title: Account Number: Dept. Head Authorization: ****** I hereby certify, under penalty of perjury, that the expenses presented have been certified to me as a just due and unpaid obligation against the City of Federal Way, and that I am authorized to authenticate and certify the said claim. \ Finance Department: \ '\. . . .EXHIBIT 2 CITY OF FEDERAL WAY REQUEST FOR PETTY CASH REIMBURSEMENT Reimbursement Request (receipts attached) $ $ Unreimbursed Requests Date: Cash on Hand $ TOTAL PETTY CASH FUND $ CERTIFICATION I certify that this is a true and accurate accounting of the Petty Cash Fund for which I am custodian. Date: , I,' , .,,\