Operating Supplement #31
Rev. 11/04
RENT/OTHER CHARGES COLLECTION PROCEDURE
- As rental payments are received at site offices, the envelope -- either return envelope provided with the rent statement, or an EDP envelope prepared by the site office staff are to be date stamped with the exact date received.
- After verifying the amount received is accurate and the account is not locked, the payment is then recorded on a log of payments kept monthly at each site location. This log should be maintained for a period of 12 months.
- All payments are to be processed daily.
- In the event payments are not received in the correct amount, they are to be personally returned to the resident within one business day of receipt, or by means of the Firm Mailing Book For Accountable Mail kept by each management office. Efforts for personal delivery must be initiated prior to utilizing the Firm Mailing Book For Accountable Mail. A copy of the cover letter, check or money order, and payment stub are to be retained on the left hand side of the management office folder.
Payments received that cannot be processed timely are to be forwarded to the Central Office to the attention of the Accounting Supervisor, to be held in the safe. A photocopy of the check or money order should be held in the management office folder for future processing.
Payments are not to be kept inside files, file cabinets or desk drawers, or other unsecured areas. Staff are to exhibit good judgment in handling of all payments to protect the bonding capacities.
To ensure a maximum PHAS score in the Financial Sub-Indicator, the following monthly schedule is to be followed:
1st Week
Rent and other charges collection period – personal contact by phone/in person
Follow-up on the release of any escrowed dollars
Follow-up on accounts where small balance letters were sent the previous month to ensure
payment in full
All payments received must be processed for posting within one business day and before
late fees posted
2nd Week
Assemble 14 day notices for distribution once accounting has posted late charges
Begin tracking process of late payers (3 occurrences per calendar year permitted)
Distribute 14 day notices
3rd Week
Conduct 14 day notice conferences
Complete pending interims before books close
Process issuance of miscellaneous charges or credits before books close
Complete review of pending maintenance charges (2 X month)
All payments received are processed for posting before books close
Utility allowance offset form signed to counteract maintenance and any other miscellaneous charge
delinquencies (to be in accounting offices prior to books closing)
4th Week
Books close
Non payment evictions and 30 day notices assembled and processed (same month of violation)
Send out small balance letters
Daily
Meet with resident once made aware of pending retro charges (30 + days before hitting the books)
Work order charge letters are sent to the resident(s) as work orders are received
Under no circumstances are monies to be held in the management office beyond one business day
Legal cases are updated as necessary