COMMISSION ON AUDIT CIRCULAR NO. 97-002
|
||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||
| 6. |
HANDLING, CUSTODY AND DISPOSITION OF THE CASHBOOK |
||||||||
| 6.1 |
A newly-appointed or designated AO shall start with a new cashbook. Before discharging his duties, the new AO shall be briefed by the Accountant and the Auditor on the proper recording of the transactions and other matters related to his work. |
||||||||
| 6.2 | The AO shall maintain separate cashbooks for salaries, wages, allowances, etc. and for petty operating expenses. The AO shall record the transactions in the prescribed cashbook daily. He may record each invoice/ receipt/voucher individually or the total disbursements for the day depending on the volume of the transactions. |
||||||||
| 6.3 | The AO shall reconcile the book balance with the cash on hand daily. He shall foot and close the books at the end of each month. The AO and the Accountant shall reconcile their books of accounts at least quarterly. |
||||||||
| 6.4 |
The cashbooks shall be kept at the Office of the AO and then placed inside the safe or cabinet when not in use. It may be taken from his custody only by the Auditor or an official duly authorized by the Agency Head, who shall issue the necessary receipt. |
||||||||
| 6.5 |
When the AO ceases to be one, the cashbook shall be submitted to the Accountant or the Treasurer (for local government units) and shall form part of the accounting records. No clearance shall be issued to an AO if he fails to submit the cashbook as required. |
||||||||
| 7. | BONDING OF ACCOUNTABLE OFFICERS |
||||||||
| 7.1 |
Each accountable officer with a total cash accountability of |
||||||||
| 7.2 | The bonding requirements are as follows: |
||||||||
| 7.2.1 | Appointment and/or designation as accountable officer; |
||||||||
| 7.2.2 | Written character references by at least three officials of the Agency one of whom is the Administrative and/or Legal Officer, other than the official who appointed/ designated him. |
||||||||
| 7.2.3 | Statement of assets and liabilities as of the end of the preceding year; The foregoing documents shall be submitted, together with the application for bond, to the Fidelity Bond Division of the Bureau of the Treasury. |
||||||||
| 7.3 | When the accountability is increased, the Accountant shall ensure that additional bond is applied for. |
||||||||
| 7.4 |
When the AO ceases to be one, the Accountant shall
immediately inform the Fidelity Bond Division of such cessation. |
||||||||
| 7.5 | The amount of bond necessary for the cash accountability of the AO shall be in accordance with the schedule of cash accountability and bond issued by the Bureau of the Treasury. |
||||||||
| 8. | RESPONSIBILITY OF THE AGENCY HEAD In shall be the responsibility of the Head of the Agency to ensure the proper granting, utilization and utilization of all cash advances in accordance with these rules and regulations. |
||||||||
| 9. | DUTIES AND RESPONSIBILITIES OF THE COA AUDITOR |
||||||||
| 9.1 |
The Auditor shall periodically evaluate the accountability of the AO and recommend reduction of the cash advance if found excessive. |
||||||||
| 9.2 | Cash Examination |
||||||||
| 9.2.1 | The Auditor shall conduct an examination of the accountability of each AO at least once every semester or as existing regulations of the COA require. |
||||||||
| 9.2.2 | The Auditor shall demand the presentation by the AO of his cashbook, cash and cash items for examination. Failure by the AO to have duly forthcoming any public funds with which he is chargeable, upon demand by the Auditor shall be prima facie evidence of misappropriation. |
||||||||
| 9.2.3 | The Auditor shall exclude from among the cash items presented any accommodation checks, "vales", IOUs, chits or other forms of promissory notes and should not accept them as credit to the account. |
||||||||
| 9.2.4 | The Auditor shall at once demand in writing the production of the missing funds at the moment the shortage or loss is discovered and established. The granting of a grace period for the restitution is not allowed by law. |
||||||||
| 9.2.5 | The Auditor shall submit the cash examination report, together with all the working papers/ evidences disclosing the shortage, to the Provincial/City Auditor (if the offense is committed in an
LGU) or to the COA Director concerned for the filing of criminal proceedings in accordance with COA Memorandum No. 83-81B, COA Memorandum No. 90-660 and paragraphs 3.1 and 3.2 of COA Memorandum No. 95-112 dated December 26, 1995. |
||||||||
| 9.3 | During
periods where no cash examination is conducted. |
||||||||
| 9.3.1 |
Upon failure of the AO to liquidate his cash advance within two (2) months for AOs holding office within the station and three (3) months for AOs outside the station from date of grant of the cash advance, the Auditor shall issue a letter demanding liquidation or explanation for non-liquidation. |
||||||||
| 9.3.2 | If thirty (30) days have elapsed after the demand letter is served and no liquidation or explanation is received, or the explanation received is not satisfactory, the Auditor shall advise the head of the agency to cause or order the withholding of the payment of any money due the AO. |
||||||||
9.3.3 |
The
AO shall likewise be held criminally liable, for failure to settle
his accounts. For this purpose the Auditor shall: |
||||||||
|
|||||||||
| 10. | COVERAGE This Circular shall cover only cash advances granted to officials and employees of an agency and shall not apply to funds transferred from a Source Agency to an Implementing Agency. The rules and regulations on the granting, utilization and liquidation of funds transferred from a Source Agency to an Implementing Agency are stated in COA Circular No. 94-013 dated December 13, 1994. |
||||||||
| 11. | REPEALING CLAUSE All Circulars, Memoranda, rules, regulations and other issuances inconsistent herewith are hereby repealed, amended or modified accordingly. This Circular shall take effect five (5) days after its publication in the Official Gazette or newspaper of general circulation. |
||||||||
|
|
||||||