Process Payments for Goods & Services Vendors
Submitted by admin on Tue, 05/04/2021 - 15:37
Policy:
F/EA processes vendor payments on a bi-weekly basis when completed, valid payment request forms (PRFs) are received.
The payment request forms are distributed to all consumers when they join the program, in the Goods & Services Vendor Enrollment Package. Consumers or vendors can request PRF’s by calling F/EA’s toll-free customer service line or the form can be accessed online.
The PRF allows the participant to inform F/EA of what vendor is to be paid, in what amount and from what line in the participant’s budget to use allocated funds.
Procedure:
- Payment Request Forms are distributed to all consumers in the program in their initial Goods & Services Vendor Enrollment Packages
- Consumers can print out more PRF’s from the F/EA website
- Consumers can call F/EA toll free line to request more forms by mail
- On at least a quarterly basis, F/EA should conduct a mail merge, sending out fresh, blank PRF’s to consumers
- Once consumers receive notice from their counselor that their budget has been approved, they may begin to spend the funds from it (both on workers services and non-workers goods and services)
- Consumers will complete a PRF for each non-workers good or service for which they wish to use their budget funds
- Even if the good or service will be regularly purchased on the participant’s behalf, a valid PRF for each pay period must be submitted for each payment to be made
- It is mandatory that each PRF be accompanied with a valid invoice for the good or service being purchased
- Consumers can fax or mail the PRF’s to the number or address on the form
- The payment schedule has a due date by which the PRF will need to be received in order for a check to be cut in that pay-cycle.
- If the PRF is received after the cut-off date that is specified on the payment schedule then it will be paid in the following check run
- Each pay period, appropriate staff alphabetize each PRF by the participant’s last name and then by vendor
- All PRF’s are date stamped as they are received
- Alphabetized, date stamped, accurately completed PRF’s with a valid invoice attached are placed in a “to-be-paid” folder
- The invoice is stapled behind the PRF
- If the PRF is not filled out completely or there is not an invoice attached, the PRF is placed in a separate folder
- The F/EA Customer Service team will follow up on all incomplete PRFs with the goal of resolving any issues so that payments can be made in the current check run
- Any unresolved issues will be processed in a future check run, after requirements have been met
- If applicable vendors are not already in the payment processing system, they must be added
- After entering the vendor into the system, the vendor ID is written on the form
- In the invoice processing location of the accounting system:
- Create a new line item for each PRF by filling in the participant field, vendor field, service code field and the payment amount
- There may be two errors that occur while following the above steps:
- The service code is not in the participant’s budget; or
- Sufficient funds do not exist in the budget line item to cover the invoice
- For any consumers with issues on their PRF, F/EA staff report the issue to the participant’s counselor
- The counselor and participant determine whether and how to adjust the budget to make the payment
- Any PRFs that cannot be processed are placed in a file folder of PRFs with issues
- On the check run date, checks are cut and mailed to each vendor for which PRF’s were processed
- Consumers and their counselors receive spending reports on a monthly basis, so that they can see what they have spent and what they have left to spend out of their budgets.
Internal Controls:
The internal controls used by F/EA to monitor this process establish responsibility, segregate duties, document procedures and ensure independent internal verification.
- <<Insert internal controls depending on process>>
- F/EA Payroll Department reconciles payroll account to ensure that accurate payments are debited from the account
- Chief Financial Officer is one of two signatories on the program bank account
- F/EA maintains Chief Financial Officer signature block for checks in a password protected, secure location
- Only authorized staff have access to Chief Financial Officer signature block
- On a quarterly basis Quality Assurance Coordinator contacts a random sample of 25 workers/vendors to inquire if they regularly received a remittance advice with their payments
- F/EA Quality Assurance Coordinator completes a findings control document and submits to <<Staff Title>> for review and signature
- Corrective action plan developed and implemented based on findings
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