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10.11.01 Petty Cash CITY OF BOYNTON BEACH, FLORIDA ADMINISTRATIVE POLICY MANUAL CHAPTER: 10 Purchasing Policy No. 10.11.01 SECTION: 11 Petty Cash Page: 1 of 2 SUBJECT: 01 Procedure for Petty Cash PURPOSE: This policy will allow for the procedures to establish and manage a petty cash fund. POLICY: The departments have the authority to request a petty cash fund to meet small incidental purchases for facilitating the transaction of City business such as: small purchases that must be made from vendors that do not offer the City credit, postage for special delivery, toll receipts, parking, etc. Petty cash requests will not be authorized for individual purchases that exceed $25. Each department assigned a Petty Cash Fund shall designate a custodian to be responsible for the control of these funds. The employee assigned as custodian wiII be responsible for controlling the flow of cash in and out of the Petty Cash Fund, making sure proper receipts are obtained for each purchase and assuring that proper forms are obtained for each purchase, and assuring the proper forms are filled out completely and authorizing signatures obtained. The custodian will also be responsible for reconciling the Fund as needed and applying for reimbursement. Each department should also designate one other employee as an alternate custodian. The alternate custodian would assume the custodian responsibilities in the event of the absence of the custodian. Procedures for a petty cash fund are as follows: Establishment of a Petty Cash Fund: A memorandum will be sent to Finance Department requesting a petty cash fund. The memo should be specific providing justification for the fund, the designated custodian of the fund, the alternate custodian, and the dollar amount being requested to establish the fund. Amount established will vary depending on the activity of the department. Policy No. 10.11.01 -Petty Cash Page: 2 of 2 Petty Cash Payments: When an employee request reimbursement, or receives an advance, from petty cash the Petty Cash Receipt must be used. This form provides for identification of: dollar amount of receipt; reason for purchase; expense code; signature of employee receiving petty cash; signature of department custodian for petty cash; and signature of department head. Anytime a disbursement is made from petty cash it is required that this form be completed in full. Petty Cash Reimbursement: Petty cash funds should be reconciled on a weekly basis, or more frequent if needed. Reimbursement request will be submitted to Finance Department on a Direct Payment Requisition with the description stating "Petty Cash Reimbursement". The account codes from the Petty Cash Receipts will be summarized on the Direct Payment Requisition. The Direct Payment Requisition, Petty Cash Receipts, and supporting invoices will be sent to Finance Department for reimbursement of petty cash. Sales tax will be not be paid on Petty cash invoices. The City is tax exempt and it is the responsibility of the purchaser to properly notify the vendor of the tax-exempt number. Discrepancies in Petty Cash: Any discrepancies in the petty cash fund maintained by the department should be brought to the immediate attention of the Department Head and Director of Finance. If theft is suspected, the Police Department should also be notified. DEVELOPED BY: Purchasing Division EFFECTIVE DATE: February 1, 1998 Kerry Willis City Manager