Ohio Administrative Code (Last Updated: January 12, 2021) |
113 Treasurer of State |
Chapter113-1. Payments |
113-1-03. Procedures for checks not accepted for deposit
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(A) Upon the return of a deposit item, the treasurer shall give written or electronic mail notice of such return to the state entity which submitted the item for deposit. The state entity shall reimburse the state treasury for the amount of the returned item. Reimbursement may be by cash exchange, check exchange, negative revenue receipt, reduction of revenue receipt or electronic funds transfer. If reimbursement is not otherwise made, the treasurer shall prepare a revenue modification document in the amount of the returned item.
(B) For state entity bank accounts so designated by the treasurer, the treasurer may instruct the bank to return checks that were not accepted for deposit directly to the state entity. In this case, the state entity is to deduct the returned item from the pay-in document for the state entity's deposit in that account for the same business day.
Five Year Review (FYR) Dates:
11/30/2017 and
11/30/2022
Promulgated
Under: 111.15
Statutory
Authority: 113.08
Rule
Amplifies: 113.08
Prior
Effective Dates: 02/21/1986 (Emer.), 05/03/1986, 07/05/1996, 09/28/2000,
06/28/2007, 09/20/2012
Prior History: (Effective:
09/20/2012
R.C.
119.032 review dates:
06/18/2012 and
09/20/2017
Promulgated
Under: 111.15
Statutory
Authority: 113.08
Rule
Amplifies: 113.08
Prior
Effective Dates: 2/21/86(Emer), 5/3/86, 7/5/96, 9/28/00, 6/28/2007
)