
Check/EFT Requests
DPO's and PO's
Independent Contractors
International Payments
Official Functions
Travel
|
|
|
|
The Check/EFT Request
form, along with proper back-up and receipts,
should be used for the following types of direct payments:
- Building and Room Rental and Lease
- Cashier Payments (Loans, Advance Reimbursements,
Short Checks)
- Doctors, Hospitals and Prescription Drugs
- Employee Moving Expenses (reimbursements only)
- Independent Contracts
- Insurance Premiums
- Licenses, Taxes and Fees (Not Software Licenses)
- Membership Dues
- Petty Cash Reimbursements
- Performance Contracts
- Postage Purchases by Mail Services
- Refunds
- Reimbursements to Individuals (see paragraph below
concerning reimbursements)
- Resale purchases by the Bookstore
- Royalties / User Fees under $1,000
- Stipends
- Subscriptions
- Travel - Deposits, Lodging, Registrations and Reimbursements
- Utilities
- Vehicle Rental - 5 Passenger or Less
|
Completing
a Check/EFT Request Form
- Date - Enter the date the document
is being prepared.
- Department Name - Enter the name
of the department that is responsible for the
payment.
- Originator Name and Phone # - Enter
the name and phone number of the person who is to
be called if there is a question or problem concerning
the payment.
- Authorized Signature - Only a person
who is authorized on the FOAPAL being charged
can sign. If more than one FOAPAL is being
charged there must be an authorized signature for
each FOAPAL.
- Vendor Identification # - Enter
the Bear Number
of the person being paid.
- Vendor & Address - Enter the
vendor name and a complete address. A pre-addressed
envelope is required when enclosures will not
fit into the Accounts Payable check envelopes.
- FOAPAL - Enter the FOAPAL to be charged.
- Amount - Enter the total amount
to be charged to the FOAPAL on that line.
Do not enter an amount on a line that has no FOAPAL.
- Check Stub/EFT Information - This
is the information that will be printed on the check
stub for the vendor or reported in the EFT notification
for employee reimbursements. Please be concise and
use
meaningful abbreviations such as invoice number or
FOAPAL. The computer will only accept
two lines at fourteen spaces per line. It is
not necessary to repeat information for multiple
FOAPALs if it all pertains to the same transaction.
If a detailed explanation is required to assist
the Accounts Payable Office in processing the request,
please use the unused lines at the bottom of
the form or attach a memo.
It
is very important that receipts and back-up are
submitted
with the Check/EFT Request Form. Original
receipts or proof of payment such as a canceled check
or original
credit card receipt are required for all reimbursements.
A copy of the check and/or deposit slip from the cashier
is required on refunds. Original invoices are required
for membership dues, payments to doctors, insurance
premiums, utilities and any other payment on an invoice.
For independent contracts, attach the contract
as well as the analysis sheet. When the back-up must
be sent to the vendor, such as registration forms or
membership forms, attach a photocopy of the
original document. Reimbursements to individuals
for materials
and services must be accompanied by a letter explaining
why a PO or DPO was not used.
Requesting reimbursement for the purchase
of materials or services is considered a circumvention
of state purchasing rules and regulations. Departmental
Purchase Orders (DPOs) should be used for all small
purchases ($1000.00 or less) where petty cash
is not available. Reimbursements should not be
requested unless a cash purchase is unavoidable, for
example a vendor does not accept a DPO.
|
Special Off-Cycle Check
Request
There are occasions when a department may need an off-cycle
check from the Accounts Payable Office. An off-cycle
check is done when a check is needed immediately and
cannot wait for the regular check process. Effective
October 1, 2001 there is a $25 charge for this service.
If this situation arises, you will need to complete
the following procedure for an off-cycle check
and provide on the Off-Cycle Check Request Form a
department FOAPAL to pay for the $25 charge.
1. Complete the Off-Cycle
Check Request Form.
2. Complete a Check/EFT
Request Form.
3. Attach both forms with your back-up and bring to
the Accounts Payable Office no later than 3:00pm on
the day you need the check.
|
|
|
Location: Carter Hall Room 1002
Phone: 970-351-2237
Fax: 970-351-1142
Mailing Address:
Accounts Payable
University of Northern Colorado
501 20th Street
Campus Box 61
Greeley, CO 80639
|
|
Affirmative Action/Equal Employment Opportunity/Title IX Policy and Coordinator |
|

|