ENTRY NO. 10 – DISBURSEMENT OF GENERAL CASH - 10510

(Revised: 04/2022)

Purpose: To record cash disbursed from the agency/department’s General Cash account.

Cash is disbursed from the agency/department's General Cash account as refunds to payers, as remittances to the State Treasury, or to banks for dishonored checks. 

Refunds to payers because of denied applications or for other reasons are made daily or as refunds are determined and approved.

State agencies/departments are notified by banks whenever checks are dishonored. Upon notice that a check has been dishonored, the agency/department reimburses the bank with a check drawn upon the agency/department’s General Cash account.

References: SAM sections 8043, 8091, 8094, 8095, and 10511

General Cash Remitted to State Treasury

Debit/ Credit

Account

Legacy Account

Account Description

Note

Debit

Not Used

1115

General Cash – Remittance in Transit

a

Debit

Not Used

1150

Cash in Transit to State Treasury

a

Debit

1104000

Not Used

Cash in State Treasury

b

Credit

1101000

1110

General Cash

c

Note:

  1. Amount of cash remitted for deposit in the State Treasury for agencies/departments deferred/exempt from FI$Cal.
  2. Amount of cash in the State Treasury for agencies/department using FI$Cal.
  3. Total cash disbursements. 

Record Buy-back of Dishonored Check

Debit/ Credit

Account

Legacy Account

Account Description

Note

Debit

Not Used

1315

Accounts Receivable-Dishonored Checks

a

Debit

1200910

Not Used

NSF Receipts Clearing

b

Credit

1101000

1110

General Cash

c

Note:

  1. Payments to banks for dishonored checks for agencies/departments deferred/exempt from FI$Cal.
  2. Payments to banks for dishonored checks for agencies/department using FI$Cal.
  3. Total cash disbursements.

Refunds to Payers from General Cash

Debit/ Credit

Account

Legacy Account

Account Description

Note

Debit

Not Used

3730

Uncleared Collections

a

Debit

Not Used

8000

Revenue

a

Debit

Not Used

9892

Prior Year Revenue Adjustments

a

Debit

1200900

Not Used

Refunds Clearing

b

Credit

1101000

1110

General Cash

c

 

Note

  1. Amount of suspense items, revenue, or prior year revenue refunded to payers for agencies/departments deferred/exempt from FI$Cal.
  2. Amount of suspense items, revenue, or prior year revenue refunded to payers for agencies/departments using FI$Cal.
  3. Total cash disbursements.

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