Solving the SF 224 Puzzle
DESCRIPTION:
The course examines the operations and technical aspects of 224 reconciliation. Topics include a general overview of the 224 reporting process, Treasury requirements and reconciliation procedures.
OBJECTIVE:
The objective of this course is to provide greater understanding of 224 Reconciliation processes and initiatives. After completion of the course, the student will be able to:
Describe basic SF-224 Report Elements
Identify VA 224 Cash Accounts
Understand 224 Terms and Definitions
Perform Reconciliation of 224 Transactions
CLASS SCHEDULE:
One day, 8:30 AM - 4:00 PM
LEARNING MANAGEMENT SYSTEM (LMS) CLASS NUMBER:
To receive credit for this class in the LMS system, have your local LMS administrator record your completion to Item Number #926920.
COURSE OVERVIEW
INTRODUCTION
WHAT IS THE 224: Define the SF-224 and reporting requirements
VA CASH ACCOUNTS: Review 224 Cash Accounts
SF-224 RECONCILIATION: Describe 224 related reports and reconciliation process
RECONCILIATION TIPS: Describe tips to avoid reconciliation problems
CONTACTS: Listing of contact points for 224 reconciliation issues
FSC NEWSFLASHES: Review 224 related newsflashes
FASMATCH: Describe functionality of reconciliation package
STATION RECONCILIATION: Review and reconcile current outstanding items according to each station represented in the class.
TRAINING MATERIALS
References:
PG1021
PG1022
PG1023
PG1030
PG1020A
PG10241029
224 Puzzle
LINKS:
FMS Users Guide and Monthly ReportsFMS GL and Proforma
FRS
RSD reports
Reports Archive
LMS