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Ordinance - #16-12 - 11/07/2016
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Ordinance - #16-12 - 11/07/2016
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3/28/2025 3:12:42 PM
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12/22/2016 2:21:13 PM
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Resolutions & Ordinances
Resolutions or Ordinances
Ordinances
Resolution or Ordinance Number
#16-12
Document Date
11/07/2016
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5.2 Check Requests/Immediate Pay <br />The Finance Department policy is for bills to be paid from the accounts payable bills list submitted bi-weekly to <br />City Council for approval. For certain exceptions, check requests/immediate pay may be used under the following <br />guidelines: <br />• Immediate pay is for payments that need to be made prior to Council meeting approval date. Such items <br />include taking advantage of discounts, avoiding late charges, purchases requiring payment with order, etc. <br />• Immediate pay checks will be issued upon one day notice. Exceptions to the one day notice is for <br />investments and emergency purchases. <br />• Checks will be issued, mailed, or returned to appropriate department. <br />5.3 Invoices <br />• Invoices, purchase order, or expense reimbursement forms must be returned to the Finance Department <br />with proper authorization and account coding to be processed on the bills list for City Council approval. <br />5.4 Account Coding <br />All requests for payment including invoices, check request, purchase order, or expense reimbursement forms must <br />have an eight digit code to process payment. Responsible Department Head will indicate the fund/department and <br />object number from which payment will be expensed. Reference should be made to departmental budget(s) for <br />department and object numbers. <br />5.5 Petty Cash <br />• Receptionist shall be the custodian of the petty cash. <br />• Petty Cash shall not exceed $100.00. <br />• Used for reimbursement to employees for items $20.00 or less for expenditures made on behalf of the City. <br />• Receipt and/or expense reimbursement form must be submitted with proper departmental authorization <br />obtained prior to reimbursement. <br />5.6 Payment Processing <br />• Invoices, check request, purchase orders or employee expense reimbursement forms must be submitted to <br />the Finance Department. <br />• Detailed receipts, stating reason for public purpose expenditure, must be submitted with employee expense <br />reimbursement forms. <br />• Immediate pays are due to the Finance Department at least one day in advance of the payment day. <br />• Department Heads must have fund/department and object codes to process payment. Refer to departmental <br />line item budget for proper coding. <br />• Checks may not be made out to cash or bearer. <br />5.7 Electronic Funds Transfer <br />Electronic Funds Transfer may be required in some cases to complete a business transaction. The funds are <br />transferred electronically between the city's bank account and the respective business party's bank account. <br />These transactions need to follow the same guidelines for payment processing in Section 5.6. <br />8 <br />
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