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  • Appendix 5 OVERALL INTRA-GOVERNMENTAL TRANSACTIONS (IGT) PROCESSES/GENERAL INFORMATION 1 November 2024 Section 1—Overview of Intra-governmental Transactions 1.1—Purpose The…
    … guide is to assist federal entities in the accounting, reporting, and reconciliation of IGT activity with their … Location Authoritative Investments Fiscal Service Monthly Account Statement Provides investment/redemption/ … invested in government securities with Fiscal Service. Monthly Fiscal Service Monthly Account Statement…
    03/06/2024 - 10:44 - Similar Pages
  • … followed by Federal Reserve banks and branches (FRBS) for reporting deposits and Treasury check issues for the … Chapter 4000 Reporting Deposits And Treasury Check Issues For Payment Of … Chapter 4000 Reporting Deposits And Treasury Check Issues For Payment Of …
    09/28/2023 - 10:04 - Similar Pages
  • … the Department of the Treasury (Treasury) accounting and reporting policies and procedures on cash not deposited in … Chapter 3400 Accounting For and Reporting On Cash and Investments Held Outside Of The U.S. … Chapter 3400 Accounting For and Reporting On Cash and Investments Held Outside Of The US …
    09/11/2023 - 09:58 - Similar Pages
  • Appendix 6 INTRA-GOVERNMENTAL TRANSACTIONS (IGT) INVESTMENTS/BORROWINGS 1 November 2024 Section 1—Investments and Borrowings Authoritative Sources Investments and…
    … million or greater) difference in its Material Differences Reporting. By taking this action, the trading partner … Appendix 6 9 November 2024  Reconcile the monthly Accrual Confirmation Report from FedInvest provided … FFB, trading partners must review and reconcile to FFB’s Monthly Account Statement. Specific reconciliations required …
    07/01/2025 - 13:39 - Similar Pages
  • Appendix 6 INTRA-GOVERNMENTAL TRANSACTIONS (IGT) INVESTMENTS/BORROWINGS 1 November 2024 Section 1—Investments and Borrowings Authoritative Sources Investments and…
    … million or greater) difference in its Material Differences Reporting. By taking this action, the trading partner … Appendix 6 9 November 2024  Reconcile the monthly Accrual Confirmation Report from FedInvest provided … FFB, trading partners must review and reconcile to FFB’s Monthly Account Statement. Specific reconciliations required …
    11/15/2024 - 09:11 - Similar Pages
  • … prescribes the Department of the Treasury's (Treasury) reporting instructions for federal agencies that have been … Chapter 4600 Treasury Reporting Instructions For Credit Reform Legislation … Chapter 4600 Treasury Reporting Instructions For Credit Reform Legislation …
    09/11/2023 - 11:49 - Similar Pages
  • FMCF 101 Training for Agencies Financial Management Quality Service Management Office (FM QSMO) As of: November 2024 Disclaimer The purpose of this training is for the U.S. Department of…
    … Financial Reconciliation FFM.110 Financial / Performance Reporting Function ID Activity ID Activity Name Activity … and Financial Accounting; (82) SFFAS 27: Identifying and Reporting Earmarked Funds; ... 1.1.5.3 FFM.090 General Ledger … Timeliness Service Provider Service Management Office Monthly Marketplace; Service Provider; Service Customer…
    11/13/2024 - 11:38 - Similar Pages
  • FMCF 101 Training for Agencies Financial Management Quality Service Management Office (FM QSMO) As of: November 2024 Disclaimer The purpose of this training is for the U.S. Department of…
    … Financial Reconciliation FFM.110 Financial / Performance Reporting Function ID Activity ID Activity Name Activity … and Financial Accounting; (82) SFFAS 27: Identifying and Reporting Earmarked Funds; ... 1.1.5.3 FFM.090 General Ledger … Timeliness Service Provider Service Management Office Monthly Marketplace; Service Provider; Service Customer…
    05/01/2024 - 11:33 - Similar Pages
  • FMCF 101 Training for Agencies Financial Management Quality Service Management Office (FM QSMO) As of: November 2025 Disclaimer The purpose of this training is for the U.S. Department of…
    … Financial Reconciliation FFM.110 Financial / Performance Reporting Function ID Function Name Activity ID Activity Name … and Financial Accounting; (82) SFFAS 27: Identifying and Reporting Earmarked Funds; ... 1.1.5.3 FFM.090 General Ledger … Timeliness Service Provider Service Management Office Monthly Marketplace; Service Provider; Service…
    09/22/2025 - 16:17 - Similar Pages
  • … Processing Charges to Treasury's General Account Part 5: Reporting Requirements for Treasury's General Account Part 6: Accounting and Reporting for Gold Certificates Part 7: Issuing of Treasury … for Processing Postal Money Orders Top of Page Part 5: Reporting Requirements for Treasury's General Account Table …
    02/02/2023 - 19:37 - Similar Pages