GN 02403.011:
Processing Money Gifts Received in the Field Office
Effective Dates: 04/15/2013 - Present
- Effective Dates: 10/23/2017 - Present
TN 13 (05-03)
- TN 20 (10-17)
GN 02403.011 Processing Money Gifts Received in the FO
- GN 02403.011 Processing Money Gifts Received in the Field Office
- A. Policy - money gifts
Gifts to SSA may be received in the FO.
- Gifts to the Social Security Administration (SSA) may be received in the field office (FO).
- Acceptable gifts include:
* money (cash, check, money order, etc.)
- * money (check, money order, etc.),
- * monetary bequests,
- * anonymous cash gifts, and
* returned benefit checks.
- * returned benefit checks,
- The gift or bequest must be unconditional and not solicited in any way by SSA.
- B. Procedure - money gifts
- Process money gifts received in the FO as follows:
- 1. Interviewer
* Does the remitter request that the gift be assigned to a specific trust fund?
* If yes, document the remitter's request and associate it with the remittance. Go to GN 02403.011B.1.b.
* If no, go to GN 02403.011B.1.c.
* Enter the gift into DMS specifying Reason Code “G” (gift), and trust fund “O”. When a valid SSN is not available or is not known, enter 9 nines for the account ID. Give the automated receipt to the remitter.
REFERENCE: See GN 02403.005C.4. if gift is anonymous, and MSOM DMS 003.006 and MSOM DMS 003.007 for how to obtain an automated FO Receipt.
* Is the gift in the form of cash?
* If yes, follow the steps outlined in GN 02403.009B., Processing Cash Remittances Received in FO. STOP .
* If no, go to GN 02403.011B.1.d.
* Give the remittance and the DMS generated payment coupon to the remittance clerk.
- If…
- Then…
- The remitter requests that the gift be assigned to a specific trust fund;
- * Document the remitter’s request and enter the gift into the Debt Management System (DMS), (see MS DMS 003.006) specifying Reason Code “G” (gift), and trust fund “O”.
- NOTE: When a valid SSN is not available or is unknown, enter 999-99-9999 for the account ID.
- * Give the automated receipt to the remitter.
- * Give the remittance and the DMS generated coupon to the remittance clerk.
- The remitter does not request that the gift be assigned a specific trust fund;
- * Enter remittance within DMS, see MS DMS 003.006, specifying Reason Code “G” (gift), and trust fund “O”. NOTE: When a valid SSN is not available or is unknown, enter 999-99-9999 for the account ID.
- * Give the automated receipt to the remitter.
- * Give the remittance and the DMS generated coupon to the remittance clerk.
- The gift is in the form of cash;
- Follow the steps outlined in GN 02403.009B. Processing Cash Remittances Received in FO.
- The gift is anonymous
- See MS DMS 003.006 for how to obtain an automated FO Receipt. Specify Reason Code “G” (gift), and trust fund “O”.
- NOTE: When a valid SSN is not available or is unknown, enter 999-99-9999 for the account ID.
- The gift is a returned benefit check;
- * See GN 02403.005C.4, if the gift is received in the FO.
- * See GN 02405.010, if the gift arrives in the mail.
- 2. Remittance clerk
* At the end of day, obtain FORT and associated remittance(s) with it.
REFERENCE: See MSOM DMS 004.006 and MSOM DMS 004.008 for how to obtain FO Remittance Transmittal.
* Complete the first SIGNATURE, TITLE, NAME and PHONE lines on the FORT.
* Handcarry FORT with related payment coupons and refund payments to the remittance supervisor at the end of the day.
- The remittance clerk takes the following actions:
- * At the end of day, obtain the Field Office Remittance Transmittal (FORT) and associated remittance(s) with it.
- REFERENCE: See MS DMS 004.006 and MS DMS 004.008 for how to obtain FORT.
- * Complete the first SIGNATURE, TITLE, NAME, and PHONE lines on the FORT.
- * Hand carry FORT with related payment coupons and refund payments to the remittance supervisor at the end of the day.
- 3. Remittance supervisor
- The remittance supervisor takes the following actions:
- * Review each line item on the FORT to ensure that remittance information is correct and matches the credit amount block on the FORT.
- * Review any mailroom or reception area logs completed that day to ensure that any refunds annotated on the logs are included on a FORT.
- REFERENCE: See GN 02403.004 for details concerning mailroom and reception area logs.
* Record any discrepancies and resolve them with the remittance clerk/Interviewer
* Complete the second SIGNATURE, TITLE, NAME and PHONE lines on the FORT.
* Place the correspondence pertaining to the gift, the FORT, any payment coupons and the refund in an envelope. Seal the envelope and mail to MATPSC the same day. If the day’s FORT and remittances cannot be mailed the same day that the FORT is produced, they should be secured and mailed the next business day.
- * Record any discrepancies and resolve them with the remittance clerk/Interviewer.
- * Complete the second SIGNATURE, TITLE, NAME, and PHONE lines on the FORT.
- * Place the correspondence pertaining to the gift, the FORT, any payment coupons and the refund in an envelope. Seal the envelope and mail it the same day to the Mid-Atlantic Program Servicing Center (MATPSC). If the day’s FORT and remittances cannot be mailed the same day that the FORT is produced, they should be secured and mailed the next business day.
- REASON: MATPSC will deposit the remittances and the gift, and forward all correspondence pertaining to the gift to the Office of Financial Policy and Operations, Office of Finance, which maintains the data for the Commissioner's office.
- * Acknowledge the gift, per GN 02413.003.
NOTE: Any questions about gifts posed by either an employee or a member of the public should be directed to the Office of Finance by calling 410-966–0113.
- NOTE: Direct any questions about gifts from an employee or a member of the public to the Office of Finance by calling 410-966–0113.
x
← This means that the line
was removed and
was added – in other words, the "Effective Dates" line at the top of the document has been updated to reflect that the new version is effective as of the date the change was made.