FAUQUIER COUNTY PUBLIC SCHOOLS Policy: Adopted: 09/10/12 Revised: 06/28/16 PETTY CASH FUNDS. 1. Generally

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FAUQUIER COUNTY PUBLIC SCHOOLS Policy: 3-3.4 Adopted: 09/0/2 Revised: 06/28/6 PETTY CASH FUNDS. Generally.. The School Board may, by resolution, establish petty cash funds for the payment of properly itemized bills for materials, services, or supplies furnished to the school division under conditions calling for immediate payment to the vendor upon delivery. Such funds shall not exceed $2,000 each. 2. Procedure 2.. If it established any petty cash funds, the School Board will appoint an agent or other person who shall be authorized only to approve payment of claims arising from commitments made pursuant to provisions of law from petty cash funds. 2... Any agent or person into whose hands any such fund is placed may pay such claims therefrom without necessity of prior receipt and audit of the claims by the School Board and without approval and issuance of the warrant of the School Board. 2..2. Any agent or person into whose hands any such fund is placed may appoint custodians and authorized representatives to conduct daily transactions from the petty cash fund(s) under the supervision of the agent or other person, in accordance with regulations approved by the Superintendent. 2.2. The clerk of the School Board shall report payments from petty cash funds to the School Board or to any appointed agent of the School Board for approval and reimbursement promptly after any claim has been paid. 2.3. A bond in the amount of $4,000 will be required for each person distributing petty cash funds, but no additional bond shall be required of any person already bonded in the required amount. LEGAL REFERENCE: Code of Virginia, 950, as amended, 22.-23. ACCOMPANYING REGULATION/FORMS REGULATION 3-3.4(A) FORM 3-3.4(A) F FORM 3-3.4(A) F2 FORM 3-3.4(A) F3 FORM 3-3.4(A) F4 FORM 3-3.4(A) F5 ATTACHMENT A ATTACHMENT B PETTY CASH FUNDS REGULATION PETTY CASH RECEIPT OF FUNDS & CERTIFICATION OF RESPONSIBILITY PETTY CASH CUSTODIAN & AUTHORIZED REPRESENTATIVE(S) PETTY CASH LOG PETTY CASH VOUHCER/ADVANCE FORM PETTY CASH REIMBURSEMENT REQUEST LISTING OF APPROVED PETTY CASH FUNDS POLICY 3-3.8, TRAVEL AND EXPENSES

FAUQUIER COUNTY PUBLIC SCHOOLS Policy: 3-3.4 Adopted: 09/0/2 Revised: 06/3/6 PETTY CASH FUNDS REGULATION 3-3.4(A) PETTY CASH FUNDS. Purpose.. The purpose of this regulation is to set forth guidelines and procedures for the use and control of Fauquier County Public Schools ( FCPS ) petty cash funds. This regulation provides specific guidance to be followed by Users, Custodians, and Authorized Representatives of petty cash funds, as well as internal controls for the protection and safeguarding of petty cash funds. 2. Scope 2.. This regulation shall apply to all petty cash funds of FCPS, and shall address the proper procedures for setup, maintenance, use, and record-keeping. Attachment A provides a listing of approved petty cash funds. FCPS central petty cash funds are located in the Finance Department, Accounting Division and the Treasurer s Office. 3. General Provisions 3.. Authorized petty cash funds are part of FCPS assets and must be accounted for accurately. Adherence to the provisions set forth herein is mandatory to maintain strong internal controls. 3.2. Petty cash shall not be used to bypass the requisition and purchase order system and/or the travel and training guidelines established for employee reimbursement. 3.3. Claims for petty cash reimbursements must be supported by original valid receipts, and other supporting documentation as necessary, and must be submitted in accordance with the following: 3.3.. Reimbursements must be submitted within 90 days of the expenditure; 3.3.2. Reimbursements requested more than 90 days after the expenditure require written approval from the Executive Director of Budget & Planning; 3.3.3. Under no circumstances will reimbursements be made when requested more than 20 days after the expenditure. 3.4. Notwithstanding the time requirements noted above, all reimbursement requests for any fiscal year must be submitted in accordance with FCPS year-end guidelines and calendar. 3.5. Petty cash funds shall never be left unattended. If an employee leaves his or her work station for any reason, regardless of how briefly, funds must be appropriately secured in a locked place. 3.6. Schools petty cash funds shall never be kept with personal funds, deposited in a personal bank account, nor be taken to one s home for safekeeping. 3.7. Petty cash funds are established and the amounts and authorized agents of petty cash funds are determined by the School Board pursuant to Policy 3-3.4, Petty Cash Funds and in accordance with the Code of Virginia ( 22.- 6 and 22.-23). These funds are audited and monitored by the Treasurer s office and the Finance Department, Accounting Division. The Treasurer s Office and the Finance Department, Accounting Division are responsible for ensuring that all petty cash funds are maintained in compliance with this regulation. 3.8. Generally, sales to FCPS are exempt from sales tax. In the case of petty cash purchases, a valid original government exemption certificate (Virginia Department of Taxation Form ST-2, Commonwealth of Virginia Sales and Use Tax Certificate of Exemption) is required to be provided to the vendor at the time of purchase to

FAUQUIER COUNTY PUBLIC SCHOOLS Policy: 3-3.4 Adopted: 09/0/2 Revised: 06/3/6 PETTY CASH FUNDS receive the sales tax exemption. The certificate of exemption is available from the Finance Department, Accounts Payable Division. 4. Definitions of Terms and Forms 4.. Agent The designated individual granted the authority by the School Board to approve disbursements and/or replenishments. 4.2. Authorized Representative The individual assigned with backup responsibility for administering petty cash funds, as well as implementing the procedures outlined in this regulation in the absence of the Custodian. 4.3. Custodian The primary individual assigned responsibility for administering funds for authorized petty cash funds, as well as ensuring that the procedures set forth in this regulation are followed on a daily basis. The Custodian is accountable for all monies and records pertaining to the funds. 4.4. Petty Cash Custodian & Authorized Representative(s) Form The form used by the Agent to designate the individual(s) responsible for properly maintaining the monies and records of the petty cash fund(s). 4.5. Petty Cash Fund An authorized sum of money established by the School Board for the purpose of making small local purchases of materials, services, or supplies furnished to FCPS under conditions calling for immediate payment to the vendor upon delivery. 4.6 Petty Cash Log The accountability document, which details each disbursement and replenishment within the petty cash fund, and which is used to reconcile the actual cash balance in the fund. The Log also serves as supporting documentation for the activity in the fund. 4.7. Petty Cash Receipt of Funds and Certification of Responsibility Form The accountability document which identifies the Custodian of the petty cash fund, and assigns responsibility for maintenance of the monies and records. 4.8. Petty Cash Reimbursement Request The form used to request a partial or full replenishment of an established petty cash fund. 4.9. Petty Cash Voucher/Advance Form The form completed by the individual requesting disbursement or advancement of petty cash. 5. Procedures 5.. Assignment of Responsibility - The School Board appoints the Agent; the Agent appoints the Custodian and Authorized Representative(s). 5... Each petty cash fund shall have only one Custodian, and at least one Authorized Representative. In the absence of the Custodian, an Authorized Representative maintains the fund in accordance with this regulation. 5..2. Petty cash shall not be intermingled with other personal, activity, or school funds. 5..3. Petty cash shall not be issued and disbursed by the same individual. 5..4. Petty cash shall not be exchanged for a check, money order, or any other promise to pay. 2

FAUQUIER COUNTY PUBLIC SCHOOLS Policy: 3-3.4 Adopted: 09/0/2 Revised: 06/3/6 PETTY CASH FUNDS 5.2. Audits - Petty cash funds are subject to unannounced periodic audits by both internal and external auditors to ensure the funds are maintained in compliance with this regulation. The cash and receipts must at all times be equal to the established value of the petty cash fund. The audit must always be done in accordance with the twoperson rule, observed as follows: 5.2.. Audit of the fund a designated individual must perform the audit in the presence of the Custodian or Authorized Representative. In the absence of the Custodian or Authorized Representative, a witness must be present during the counting of the funds. The Custodian/Authorized Representative (or witness) viewing the audit will sign off on the count sheet acknowledging that he/she agrees with the findings. 5.2.2. Should there be a discrepancy with the petty cash fund, the funds will be verified by the second person assigned to the audit. 5.2.3. Upon completion of the audit the Custodian or Authorized Representative will take possession of the petty cash fund and secure the funds. 5.3. Custodians and Authorized Representatives - Custodians and Authorized Representatives shall be designated by the completion and signature of the Petty Cash Custodian and Authorized Representative form. This form shall be updated and signed at least annually, or immediately at the time of any change. 5.3.. The Custodian is responsible for the contents and security of the petty cash fund and must sign all petty cash vouchers. 5.4. Disbursements 5.3... Upon appointment of the Custodian, a Petty Cash Receipt of Funds and Certification of Responsibility form must be completed and returned to the Finance Department, Accounting Manager. The Petty Cash Receipt of Funds and Certification of Responsibility form is included on page 9. 5.3... Petty Cash Receipt of Funds and Certification of Responsibility forms will be updated and signed by the Custodian at least annually. 5.3..2. A change of Custodian requires a new Petty Cash Receipt of Funds and Certification of Responsibility form to be completed and submitted to the Finance Department, Accounting Manager. A cash audit by the Finance Department, Accounting Division is required prior to transfer of authority to the new Custodian. 5.3..2.. The new fund Custodian must perform reconciliation at the time of the transfer and in the presence of the current fund Custodian, the Agent, or an authorized designee. Petty cash is to be used for reimbursement of or advancement for approved nominal out of pocket expenditures as permitted by School Board Policy 3-3.4. This is limited to those expenditures which have been paid for by the employee in the course of conducting School business where time and convenience do not allow for the normal purchasing process. The balance of a petty cash fund is to be logged after each disbursement. The Petty Cash Log is included on page. 5.4.. A Petty Cash Voucher/Advance Form must be completed to support all disbursements of cash from the petty cash fund. Prior to disbursing funds, the vouchers must be completed in their entirety, including signatures of the Department Head or Principal, the employee receiving the money, and the Custodian and/or Authorized Representative. The Petty Cash Voucher/Advance Form is included on page 2. 3

FAUQUIER COUNTY PUBLIC SCHOOLS Policy: 3-3.4 Adopted: 09/0/2 Revised: 06/3/6 PETTY CASH FUNDS 5.4.2. Employees requesting reimbursements from petty cash must provide adequate supporting documentation. This includes original valid receipts and other documentation, as necessary, to clearly support the occurrence and business purpose of their expenditure(s). Reimbursement requests related to travel must be in conformance with the requirements of FCPS travel policy (Policy 3-3.8) and any related regulations (Attachment B). The Custodian or Authorized Representative will disburse petty cash only after receipt of adequate documentation with proper signatures. It is the responsibility of the Superintendent or Designee to determine, define, and communicate sufficient documentation required for reimbursements. 5.4.3. Cash advances for small purchases are documented on a Petty Cash Voucher/Advance form. When the invoice and unused cash is returned sections A-E will be completed. Petty cash advances should be avoided to minimize duplication and potential errors. 5.4.4. The employee limit for any single withdrawal from petty cash is $50 per day. Requests in excess of $50 will be paid by an Accounts Payable check. Special exceptions over the $50 limit will be reviewed by the Treasurer or the Finance Director. 5.4.5. Disbursements shall not be used for: 5.4.5.. Reimbursements in excess of $50 5.4.5.2. Payments to employees for personal services; 5.4.5.3. Cash advances to employees other than petty cash purchases; (exceptions made only with Finance Director approval) 5.4.5.4. Cashing of personal, third party, or payroll checks; 5.4.5.5. Subscriptions, donations, tuitions, or contracted services; 5.4.5.6. Purchase of goods or services explicitly or implicitly prohibited by FCPS, or in violation of a grant agreement; 5.4.5.7. Capital Projects (Fund 302); 5.4.5.8. Recurring expenditures. 5.4.6. When using petty cash funds a Sales and Use Tax Certificate of Exemption should be given to vendors to preclude FCPS from paying Sales Tax on purchases. Exemption forms are obtained from the Finance Department, Accounts Payable Division. 5.5. Fund Replenishment All petty cash fund replenishments will be coordinated through the Department of Finance, Accounts Payable Division. The Custodian will submit a Petty Cash Reimbursement Request to replenish the petty cash fund with enough lead-time to prevent the remaining petty cash amount from being depleted before the issuance of the reimbursement check. 5.5.. A Petty Cash Reimbursement Request Form will be completed and accompanied by all receipts and vouchers. The Reimbursement Request Form is authorized by the Custodian or Authorized Representative and the Agent. Requests to replenish petty cash will not be processed by the Finance Department, Accounts Payable Division until all required parties have signed the form. The Finance 4

FAUQUIER COUNTY PUBLIC SCHOOLS Policy: 3-3.4 Adopted: 09/0/2 Revised: 06/3/6 PETTY CASH FUNDS Department, Accounts Payable Division will return requests for reimbursements if documentation is not complete or the requested amount exceeds the fund s established amount. A copy of the Petty Cash Reimbursement Request form is included on page 3. 5.5.2. All petty cash reimbursements are made payable to Petty Cash-Custodian (Fauquier County Public Schools). 5.5.3. If a petty cash fund is short, a petty cash voucher/advance form shall be completed and submitted with the required documentation. 5.5.4. The balance of a petty cash fund is to be logged after each replenishment. 5.6. Security of Petty Cash - The safeguarding of currency, checks, and vouchers is the primary responsibility of the Custodian. All money must remain locked at all times. 5.6.. Actual currency or checks that represent the petty cash fund will be kept in a locked cash box during business hours. After hours, the cash box will be removed and locked in a department safe or other location such as a lockable file cabinet. The key or combination to the petty cash will be kept or known only by the Custodian, Authorized Representative(s), and the Agent. 5.6.2. When the responsibility shifts between the Custodian and Authorized Representative a cash count must be completed. 5.6.3. Verification of Funds is accomplished by a cash and receipt count made by the Custodian on a routine basis. Custodians and/or Authorized Representatives should validate petty cash funds at least monthly and provide confirmation to the Agent by initialing the Petty Cash Log which may be verified by the Superintendent, or authorized designee. Counts of funds shall be made after replenishment checks are cashed. The Petty Cash Log is included on page. 5.7. Handling of Fund Shortages and Overages - Any shortage identified in petty cash will be immediately brought to the attention of the Agent. The Agent will determine if the shortage exists and whether the shortage appears to have resulted from routine transactions or theft. 5.7.. Shortages from Routine Transactions If the shortage results from routine transactions, the Agent must immediately notify the Treasurer and the Finance Director. The Treasurer and the Finance Director will work together to provide a staff evaluation of the situation and recommend corrective action which may include a change of Custodian or Authorized Representative. Shortages from routine transactions will be replenished from miscellaneous revenue. 5.7.2. Shortages from Theft - If a shortage results from theft, the Agent will notify the Sheriff s Office and the Treasurer immediately. Upon notification, the Treasurer will advise the Finance Director that an audit is needed. During the ensuing investigation and internal review, a new temporary Custodian and/or Authorized Representative will be appointed. Once the investigation has been completed, a determination will be made regarding the necessary steps to replenish the petty cash to its established level from miscellaneous revenue or through employee repayment and may result in disciplinary action. If the investigation reveals the cause of the shortage to be theft by the Custodian and/or Authorized Representative, a new permanent Custodian and/or Authorized Representative will be appointed immediately. 5.7.3. Repeated shortages for any reason may result in an audit of the petty cash by the Finance Department, Accounting Division. (See Code of Virginia 30-38) 5

FAUQUIER COUNTY PUBLIC SCHOOLS Policy: 3-3.4 Adopted: 09/0/2 Revised: 06/3/6 PETTY CASH FUNDS 5.7.4. Overages 5.7.4.. Any overages will be forwarded to the Treasurer s Office with a cash transmittal form and recorded as miscellaneous revenue. Repeated overages will be reported by the Superintendent or authorized designee to the Treasurer for determination of cause and may result in an audit of the petty cash by the Treasurer s Office and/or the Finance Department, Accounting Division. 5.8. Establishment of or Changes to a Petty Cash Fund - Requests to establish a petty cash fund, or for increases or decreases to an existing petty cash fund are submitted to the Finance Director. The Finance Director will review the request and submit the recommendation to the School Board for action (per School Board Policy 3-3.4). If approved, the Finance Director will notify the Treasurer of the change and take the necessary action to establish a petty cash fund or adjust existing petty cash to the revised amount. All petty cash funds must be returned to the Finance Department, Accounting Division if not used for 30 days. Unless authorization for a petty cash fund has been abolished by the School Board, the Superintendent may request the funds be reinstated by the Finance Director within one year without requiring additional approval. 5.9. Abolishing a Petty Cash Fund - A petty cash fund may be abolished by the School Board at the request of the Superintendent. The following steps are required to abolish a petty cash fund. 5.9.. Reconcile the petty cash fund. Total on Hand must agree with the School general ledger total. If there is a variance (overage or shortage), provide an explanation for the variance. 5.9.2. Deliver the petty cash fund to the Finance Department, Accounting Division for deposit. The Finance Department, Accounting Division will verify the amount of cash returned by performing a cash count and reconciliation to the amount of the fund. 5.9.3. The Finance Department, Accounting Division will issue a receipt to the individual returning the cash and deposit the funds accordingly. The cash receipt must be kept on file in order to reestablish a petty cash fund. 5.9.4. The Finance Department, Accounting Division will notify the Treasurer once a petty cash fund has been abolished. 6

3-3.4(A) F Fauquier County Public Schools Petty Cash Receipt of Funds & Certification of Responsibility Name of Department/School: Custodian: Total Authorized Amount of Petty Cash Fund: $ Statement of Responsibility I accept responsibility for the petty cash funds issued to me as Custodian. I have read the Fauquier County Public Schools Petty Cash Regulation and agree to administer these funds in accordance with the Regulation. Should there be any shortage or disappearance of these funds, I understand that I must contact the Agent immediately. I further understand that failure to comply with the Regulation could result in disciplinary action, up to and including termination of employment. Signature of Custodian Date Signature of Agent Date Signature of Finance Department Date (Please return original to the Accounting Manager, Finance Department)

3-3.4(A) F2 Fauquier County Public Schools Petty Cash Custodian & Authorized Representative(s) Name of Department/School: Name of Agent: Total Authorized Amount of Petty Cash Fund: $ Statement of Designation: I hereby designate the individual(s) named below as the Custodian and Authorized Representative(s) of the petty cash fund for the Department/School named above. I understand the responsibilities granted to the individuals named below by making this designation. Name of Custodian Name of Authorized Representative Name of Authorized Representative Name of Authorized Representative Name of Authorized Representative Name of Authorized Representative Name of Authorized Representative (Please return original to the Accounting Manager, Finance Department)

3-3.4(A) F3 Fauquier County Public Schools Petty Cash Log DATE CLAIM# DEPT EMPLOYEE AMOUNT BALANCE Start W/ # Beginning Balance

3-3.4(A) F4 Fauquier County Public Schools Petty Cash Voucher/Advance Form Claim No. Department/School: Date: Employee Name: Amount Disbursed from Petty Cash Fund $ General Ledger Account Number to Charge: Purpose: If a Cash Advance: a) Amount Spent (submit receipts) $ b) Amount Cash Returned $ c) Total (a+b) $ d) Amount Due Schools $ e) Amount Due Employee $ Approved By: Department Head / Principal Signature Date Received By: Employee Signature Date Custodian: Custodian Signature / Authorized Representative Date

3-3.4(A) F5 Fauquier County Public Schools Petty Cash Reimbursement Request Vendor Number: Cash Checking Custodian Name/Payable to: Book Balance Disbursements with Receipts Disbursements without Receipts Petty Cash Established Balance **Should always equal the established funded amount Cash Balance $ * $ $ $ ** $ * *Should always equal Please allocate reimbursement as follows: Cost Code # $ Cost Code # $ Cost Code # $ Cost Code # $ Cost Code # $ Total Expenditures $ I certify these expenditures were incurred by the Department/School on official business of Fauquier County Public Schools. Custodian: Dept. Head/Principal: Authorized Approved Signatory Date: Date: PLEASE ATTACH NECESSARY RECEIPTS

3-3.4(A) Attachment A FAUQUIER COUNTY PUBLIC SCHOOL Listing of Approved Petty Cash Funds Petty Cash Fund Description Location Amount School Board Petty Cash Finance $,350.00

3-3.4(A) Attachment B FAUQUIER COUNTY PUBLIC Policy: 3-3.8 SCHOOLS Adopted: 09/0/2 Revised: TRAVEL AND EXPENSES. Travel and Expenses.. The Fauquier County School Board encourages attendance and participation by school personnel at professional meetings, conferences, and other functions that contribute to professional growth and improvement. Requests for reimbursement from School Board funds for costs associated with attending such professional growth opportunities will be honored only for travel approved in advance by the building principal and the division superintendent and for which a statement of travel, with supporting documents, is submitted at the conclusion of the trip. Requests for reimbursement from School Board funds for travel by the division superintendent shall be approved in advance by the School Board chairman. LEGAL REFERENCE: Code of Virginia, 950, as amended, 22.-67, 22.-78, 22.-22, 22.-253.3:5, 22.-296.