Policy and Procedure Manual Files 10,752 and 10,802 have been revised as
follows:
Agencies that process any IRS 1099 reportable payment from a petty cash fund or imprest fund are responsible for submitting a SOKI3+ journal voucher to record the expenditure against the correct vendor record. The payment voucher should list the journal voucher number in the description with the statement "for 1099 purposes". An example is included in the revised PPM's. The new Journal Voucher Module Users' Guide located in the help section of SOKI3+ gives additional guidance on IRS 1099 reporting. Please contact Don Beck to ensure that any reporting exemptions your agency may previously have been granted are still valid based on the current IRS reporting requirements. In addition, Petty Cash Policy and Procedure Manual File 10,752 has the following form revisions:
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