Cash Management BPA Questionnaire 8.8 NM
Cash Management BPA Questionnaire 8.8 NM
Cash Management BPA Questionnaire 8.8 NM
for the
June 2005
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C A
A S H M A N A G E M E N T B U S I N E S S N A L Y S I S Q U E S T I O N N A I R E
R O C E S S
If your agency is currently using an internal accounting system, please answer the following questions based on your internal system and not CAS (Central Accounting System). If a question does not apply to your agency, mark that question as N/A (Not Applicable). If you cant answer a question until conducting further research, mark that question as N/R (Needs Research).
The completed questionnaire is due back to the SHARE Project Team by June 17, 2005. Email the completed questionnaire to: [email protected]
Agency Name and Code # Responding Contact Responding Phone Number Current Accounting System of Record
2. What is each account used for and are funds transferred to the State Treasurers Office? If yes, how often are funds transferred to STO?
ANSWER QUESTIONS #3 #7 FOR ALL BANK ACCOUNTS LISTED IN QUESTION #1 3. Approximately how many transactions does your agency process monthly?
4. How many different types of payments does your agency receive and how frequently is each type of payment received? (Cash, check, credit card, etc.)
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5. How does your agency receive payments? What is the volume of transactions processed on a daily / weekly / yearly basis for each method? (Internet, walkup counter, mail, etc.)
6. Does your agency use a lockbox? If yes, please detail the types of transactions received at the lockbox.
7. What is your agencys frequency and number of feeds, imports, interfaces or lockbox transactions?
2. Describe in detail the process flow for each transaction type identified in question #1 above.
2. How often does your agency reconcile its bank accounts? How is the reconciliation conducted (manually, auto recon, etc)?
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6. Does your agency transfer funds between banks? If yes, describe the process?
7. Explain any instances where your agency makes cash entries directly to the General Ledger. (i.e. Cash Receipts or non-Accounts Receivable cash)
8. Does your agency allow internal netting of outstanding Accounts Payable and outstanding Accounts Receivable items?
2. Please provide a sample of each report and indicate how frequently your agency produces it.
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The above Business Process Analysis Questionnaire has been reviewed and approved by the respective module leads.
Approved By: Joe Luna, New Mexico SHARE Cash Management Lead
Date:
Approved By: Victor Vigil, New Mexico SHARE Cash Management Lead
Date:
Date:
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