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Accountable Form Management

Accountable Form Management​

Overview​

Accountable Forms (AF) is a general term for receipt forms or official receipts. Being representation of money received, issuance has to be controlled and each form must be monitored in the system. Accountable forms are classified as serial and non-serial. Serial refers to the numbered receipts like Form 51, 56, 58. The non-serial receipts include cash tickets, or receipts containing money value.

Collectors cannot collect unless they have accountable forms on hand. If they do not yet have accountable forms, they must first create a request through an RIS( Requisition Issue Slip) for Accountable forms and specify which accountable form they want to request.

The Accountable Form Officer (AFO) is the one in charge of the inventory of accountable forms and in ensuring that there is enough stock on hand. The AFO receives requests from the collectors. If there is not enough stock, the AFO will also create a request intended for national printing office or another LGU where they will order stock. Once the stock arrives, they will create a receiving document to add the new stock to the inventory.

Replenishing Accountable Forms​

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Receiving Accountable Forms​

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Request Accountable Forms for Collector​

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Issue Accountable Forms for Collection​

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Request Accountable Forms for Sale​

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Issue Accountable Forms for Sale​

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Handling Returns of Accountable Forms​

Viewing Accountable Form Inventory​

Transactions​

Manage Accountable Forms​

Requesting Accountable Forms​

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Activating Accountable Forms​

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Assigning Accountable Forms to Subcollector​

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Changing Accountable Form Mode​

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Cancellation of Accountable Form Series​

Online Collection​

Performing Online Collections​

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Specifying Payments​

CASH

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CHECK

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Printing of Receipt​

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Collection Detail Totals​

Voiding Receipts​

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Offline Collection​

Performing Offline Collections​

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Field Collection​

Batch Collection​

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Posting of Batch Collection​

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Batch Collection Data Controller​

Remittance​

Checking Unremitted Collections​

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Performing Remittance​

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Printing Reports​

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Liquidation​

Performing Liquidation​

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Printing Reports​

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Deposit​

Creating Bank Accounts​

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Changing Bank Deposit Slips​

Performing Deposit​

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Printing Reports​

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