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  • Appendix 1a 1 November 2024 Federal Trading Partner Codes for the Governmentwide Treasury Account Symbol Adjusted Trial Balance System (GTAS) The following crosswalk provides…
    … Appendix 1a 1 November 2024 Federal Trading Partner Codes for the Governmentwide Treasury Account Symbol Adjusted Trial … provides Financial Reporting Entity (FR Entity) codes used for GTAS. The information here reflects the determinations … are used as the federal trading partner codes requirement for GTAS and are used to facilitate the…
    03/06/2024 - 09:55 - Similar Pages
  • Appendix 4 Required Information for FedNow Credit Transfer Messages to Fiscal Service FedNow Field Name FedNow XML Xpath Required Information Interbank Settlement Amount /…
    … Appendix 4 Required Information for FedNow Credit Transfer Messages to … the purpose of the payment) … Required Information for FedNow … 3321 … 5-7500 Appendix 4 Required Information …
    09/03/2024 - 12:29 - Similar Pages
  • Appendix 1 (Fedwire instructions through 3/9/2025) Required Information for Funds Transfer Fedwire Messages to Fiscal Service Fedwire Field Tag Name Fedwire Field Tag # Required…
    … instructions through 3/9/2025) Required Information for Funds Transfer Fedwire Messages to Fiscal Service Fedwire … Type/Subtype Code (1510) Type and Subtype Codes entered by the sender. EXAMPLE: 1000 Amount (2000) The dollar amount … 021030004 is the ABA Credit Gateway routing number for Treasury. The short name for Treasury’s…
    09/03/2024 - 12:24 - Similar Pages
  • … its decision regarding the presenting bank's liability for a check reclamation. It raises a valid legal or factual … which proves that the presenting bank is not liable for the reclamation. Presenting banks have 30 days from the … Unpaid Reclamations which are under protest are identified by a code B in the Reclamation Status column on the…
    07/16/2021 - 17:09 - Similar Pages
  • Part 1 Fiscal Year 2022 Reporting SUPPLEMENT Section III U.S. Standard General Ledger Account Transaction Postings R = The USSGL transaction mentions ‘Reverse’ in the Comment. AP =…
    … C438 D128 H100 Account Number and Title: 131900 Allowance for Loss on Accounts Receivable Debit Credit D306 D402R D408 … and Title: 310710 Unexpended Appropriations - Used - Disbursed Debit Credit B102AP B108AP B122AP B235 D126AP C132R … Title: 412250 Federal Financing Bank (FFB) - Net Principal Payments Debit Credit A252 A253 Account Number…
    03/15/2024 - 23:43 - Similar Pages
  • GSDM IDD v1.1.1: File D1 - Award and Awardee Attributes (Procurement) Legend Identifying Element Attribute Amount Conceptual Model Container Obligation and Contract Dollar Values Dollars…
    … Demonstration Program Simplified Procedures for Certain Commercial Items Commercial Item Test Program … Labor Standards Description Tag Construction Wage Rate Requirements Construction Wage Rate Requirements Description Tag Interagency Contracting …
    04/15/2025 - 19:04 - Similar Pages
  • Appendix 3 Note: All General Fund activity (TP AID 099) and all other non-reciprocating activities must be reclassified to a line within Reciprocal Categories 30-48. 1 November 2024…
    … (USSGL) Proprietary Accounts Table 1: Eliminations Summary for Investments and Borrowings Category Name/ Sub-Category … Investments in U.S. Treasury Securities Issued by the Bureau of the Fiscal Service 253000F(XXX) 253100F(XXX) … Expended- Accrued 570010G(099) Expended Appropriations- Disbursed 570006F(XXX) Appropriations- Expended-
    03/06/2024 - 10:53 - Similar Pages
  • FM QSMO Core Financial System Operational Capability Demonstrations Vendors proposing Core Financial System (Core FS) solutions under SIN 518210FM must conduct an Operational Capability…
    … FIBF FFM use cases, functions and activities, and system requirements • Business scenarios, use cases, sample data, … and capabilities will be demonstrated; however, processes for interfaces/integrations with outside systems (i.e., … Core FS OCDs must accommodate virtual/remote participation by government personnel • Microsoft Teams or Zoom…
    05/20/2024 - 18:53 - Similar Pages
  • Part 1 SUPPLEMENT Line No. USSGL Acct. USSGL Account Title Begin/ End Cust/ Noncust Reporting Type Code Addl. Info. 1 1 580100 Tax Revenue Collected - Individual E S E/U 2 2 580200…
    … 131000 Accounts Receivable B S E/U 2, 3 7 131900 Allowance for Loss on Accounts Receivable E S E/U 2, 3 7 131900 … Resources E S E/U 10 14 Optional Method Refunds and Other Payments Retained by Reporting Entity This line is calculated. Equals total of …
    03/15/2024 - 23:31 - Similar Pages
  • Appendix 1 May 2025 6 CASH TRACK ACH FRB Transmittal Line Items for the Manual Interface The transmittal represents transactions processed through the Automated Clearing House (…
    … 1 May 2025 6 CASH TRACK ACH FRB Transmittal Line Items for the Manual Interface The transmittal represents … through the Automated Clearing House (ACH) network, by Federal Reserve Banks (FRBs) Atlanta and Minneapolis only. … Separation Incentive. e. Salary Allotments. These payments usually occur on the 1st and the 15th calendar day …
    03/07/2024 - 14:07 - Similar Pages