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<br />oon53 <br /> <br />2 <br /> <br />b. When the grantee has established or demonstrated to the <br />grantor the willingness and ability to establish procedures that <br />will minimize the time elapsing between the transfer of funds and <br />their disbursement by the grantee. <br /> <br />c. When the grantee's financial management system meets the <br />standards for fund control and accountability prescribed in <br />Attachment G to this Circular, "standards for Grantee Financial <br />Management Systems." <br /> <br />4. The method of advancing funds by Treasury check shall be <br />used, in accordance with the provisions of Treasury Circular No. <br />1075, when the grantee meets all of the requirements specified in <br />paragraph 3 above except those in 3.a. <br /> <br />5. The reimbursement by Treasury check method shall be the <br />preferred method when the grantee does not meet the requirements <br />specified in either or both of paragraphs 3.b. and 3.c. This <br />method may also be used when the major portion of the program is <br />accomplished through private market financing or Federal loans, <br />and when the Federal grant assistance constitutes a minor portion <br />of the program. <br /> <br />6. Unless otherwise required by law, grantor agencies shall not <br />withhold payments for proper charges made by State and local gov- <br />ernments at any time during the grant period unless (a) a grantee <br />has failed to comply with the program objectives, grant award <br />conditions, or Federal reporting requirements, or (b) the grantee <br />is indebted to the United states and collection of the indebted- <br />ness will not impair accomplishment of the objectives of any <br />grant program sponsored by the United st~tes. Under such <br />conditions, the grantor may, upon reasonable notice, inform the <br />.grantee that payments will not be made for obligations incurred <br />after a specified date until the conditions are corrected or the <br />indebtedness to the Federal government is liquidated. <br /> <br />7. Attachment H <br />provides for the <br />reimbursements. <br /> <br />of this CirCUlar, "Financial Reporting," <br />procedures and forms for requesting advances or <br /> <br />(No. A-102) <br />