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HomeMy WebLinkAboutGrant Related - BOCC (004)GRANT COUNTY BOARD OF COUNTY COMMISSIONER$- FiT� To: Board of County Commissioners From: Janice Flynn, Administrative Services Coordinator Daft May 5, 2022 Re: Authorization for Release of Funds, Dept of Commerce, CDBG #21-62210- 005, Reimbursement #2, Subrecipient O/C Request #2 01C has requested reimbursement regarding the above -referenced grant in the amount of $15,077.66 for February 2022 expenses. Their documentation is attached for review. I am requesting the release of funds for payment to 01C, in the amount of $15,077.66 Thank you. K44 0.5 202? 11 0A " R P R - - - WASHINGTON STATE ...... ..--- _................ .............. . .. - - ..... DEPARTMENT OF COMMERCE ICI$ 0I 4�-qTNVAB R =Commerce Contracl Number #_ VOUCHER DISTRIBUTION 1030 U2°I -0019 1- 10 AGENCY NAIVE INSTRUCTION TO VENDOR OR CLAIMANT: DEPAR7I`M F,NT OIF COMMERCE Submit this farm to claim payment for materials, merchandise or services, ATTN: CDBG Sh.4!?+! C4m.plOte dB#aa1 fC.r each item. PO BOX 42525 _ OLVMPIA, WA 98504-2525 Vendor's Certiflcate. I hereby certify under perjury that the Items and totals listed herein are proper charges for materials, merchandise or services furnished to the State of Washington, and _...." ._......_..__.-.._ .........."................"........"....._..."_............................._........................................................... VI��NllO1t on CLAIMANT (Warrant is to be payable to:) .... _.:..N:.». that have been provided without discrimination all goods furnished and/or services renderedp d n because of age, sex, marital status, race, creed, color, national origin, handicap, religion or Grant County PO Box 37 Vietnam era or dleable ypterans statue. E31Y_ Ephrata, WA . ..:.....:....: � �=L`13 1li..71 w (DATE) REPORTING PERIOD: FEBRUARY 2022 - ....._.. ..w. ................. _ ... ................. �.......... :. , _ _ - ........... . ..._..._. Description QUANTITY AMOUNT ' --:.-,:-..::....... iDl5 ......._...._ ................ ,r m,�,......:.::.-:,.,..,..,..,....,,,.,......__,_....,.....................;;:; , .,,::::::.. _ ..................... _ ... - - _. ----- ....::::::- :. PREVIOUSLY' AMOUNT REMAINING Activity ID BUDGET REQUESTED..... THIS INVO'CE . _.... _ BALANCE 8397 _. +O 5Z Public Services not in 03 T o5A-05Y $ 123 10 M781.51 . - 15,077.66 $91,220.83- .... ........,..... . ." .Other ;;;,,,,,,,,;,,,..�....�.:_...,....,..,.,.,,,.....,..m,�_.......... $0.00 .. _ 21 A - General Program Administration ... 355_0..0.... .fl08398 $ 39500.00 _ ........... �..... ........... ... ..,. $ V o1J 1J5 ..... ..,.....,....... ................ ........ .............,............... ..........,,...,,.....,,.,. ,. $4.002 - - . " .. - ....... .. ".-. ". ...""... $ .......... .._......._ $0.00 ................. �_.. _ $0.00 r TO � L P� '1VIENTRE UES T ..,... ......... `�_. 5,. .,...,.,, �125�.0. $d,78 51 15 077,�d64,?20.8 „ ...._. ,, . ... .r ........ ,,................,..,,,. ,,,, , line is far ... .... y o Commerce +% below this - „ �... ..... ................:.I:. FED TAX 10 4 - - PROGRAM APPROVAL T"r�e 1��tV�tt.t � p�� .: i....... .... { .. sir n. t . this v . �I��`.. � a�� i� � ��� Oita �ulx #O.l � 41r1► �sj -...; I .J i� t • 0. � Id g : �� � � � DATE PRINTED NAME: ill_....."..._ SIGNATURE: Dt DATE. NUMBER SW V # _ 0ao2426-0 _... . --- --- --- ----------------- ACCOUNT N01 B VENDOR MESSAGE A D NUMBER _ t3E M TRANS 0 SUB MASTER SUB SUB 0L ACCT SUSSID INVOICE AMOUNT NUMBER CODE D INDEX OBJ 091 621FO320 NZ _ ........... 126,580.00 2162210-005 .... .... a _..._ _,. , , ....... . - .......,. _. ..... ....,,„ 0 ............... _ ...,..,. _. SIGNATURE OF ACCOUNTING PREPARER FOR PAYMENT DATA WA RRANT TOTAL ._ ... - - : _. ,•.--- ..............a. .......... -- .... I - I.- I � -.1- -1-11.1. - .-- .. ACCOUNTING APPROVAL FOR PAYMENT DATE ...I ! 115111.1.l1e I I . I 1 ......, .... ...:. ...,. - -- - .. ..... -... ... �� .. ..... ...... ... Contract 21-62210-005 Submitted to GC by: OIC OF WASHINGTON Request for Reimbursement No. 08 FEBRUARY 2022 Grant County's Subrecipient Checklist: State Auditor's Office Audit Procedures for Testing Activities Allowed And Not Allowed, As Published In 2007 Ouestions to ask before submitting a payment request Was the expenditure or cost: X Made for an allowable activity under the grant guidelines? X Authorized (or not prohibited) under state or local laws or regulations? X Approved by the federal awarding agency, if required? N/A Allowable per Circular A-87 (,dune 2004 version), Attachment B, items 1-43? For payroll transactions: X Does the employee's time and effort documentation meet the requirements of Circular A-1 22? X Allocable to the program? (i.e., was the dollar amount charged to the program relative to the benefits received by the program? Is the federal grantor being charged its fair share of the cost?) X Based on actual costs, not budgeted or projected amounts? X Applied uniformly to federal and non-federal activities (i.e., is the federal government being charged the same amount as if non-federal funds were being used to pay the cost)? X Given consistent accounting treatment within and between accounting periods? (Consistency in accounting requires that costs incurred for the same purpose, in like circumstances, be treated as either direct costs only or indirect costs only with respect to final cost objectives). X Calculated in conformity with generally accepted accounting principles, or another comprehensive basis of accounting, when required under the applicable cost principles? X Not included as a cost (or used to meet cost sharing requirements) of other federally -supported activities of the current or a prior period? X Net of all applicable credits? (e.g., volume or cash discounts, insurance recoveries, refunds, rebates, trade-ins, adjustments for checks not cashed, and scrap sales). N/A Not included as both a direct billing and as a component of indirect costs? N/A Properly classified (e.g►., some costs may be incorrectly claimed as a direct cost instead of being incorporated as part of the indirect cost rate), X Supported by appropriate documentation? (e.g., approved purchase orders, receiving reports, vendor invoices, canceled checks, and time and attendance records.) Documentation may be in an electronic form. X Correctly charged to the proper account code and grant period? 1:\DATANONSHARED\ACCOUNTING\ingi-id's stuff\CDl3G\CD13G ML 267 2021-22\Subrecipient Checklist 2020-2 l.docPage 1 $TATE OF WASHINGTON DEPT OF COMMERCE i�;Md, CDBG PROGRAM �PO BOX 42525 z,0LYMPIA,,WA 98504-2525 'CQ'.N1MVN1"n,r ACTION AGENCY SUBRECIPIENT: OIC OF WASHINGTON 815 FRUTTVALE BLVD YAKEMA WA 98902 z CONTRACT NO: 21-62210-005 REPORT PERIOD: Feb-22 REPORT NUMBER: 8 T-OTAL AMOUNT REQUESTED THIS PERIOD: $15,077.66 COMMUNITY DEVELOPMENT BLOCK GRANT - PUBLIC SERVICES GRANTS CERTIFICAT.16_N;. loCer that the information on this form is a true and accurate report of the cash status and that all reported expenditures are properly chargeable to the referenced grant. Signature: Printed Name: DEREJE MEKURIA Title: CFO Date: 5/4/2022 154 C-DBG amountrequested for these activities this -pe.;riodw- 0 '.Tn alit .9 J. Name of Service Pro Asset DvVelopmO t & Other Asset:op e 1 Description of service program how low- and moderate -income (LMI) persons were served this period: Housing counseling, credit coaching, fioreclosure services, business start-up, financial education workshops and high school classes. Free tax -prep. d -sted for these progrant activities thisPer-to Name of Service :roman:. Eorg, �'Assistance 1C.DHG* amountrcqut 164 $0.001 .......... ',Description of service program how low- and moderate -income (LMI) persons were served this period: Energy assistance and conservation ,education. . ............... . . ...... . . ............... y. 13'..Name i�f Service Akfiv' fty,- Asset Eitbrg-y Assist Adndn-indirect Admin C.018G,'amount,.riqut : sted for these activities this period,:, 5.. $115 , 76.,: Description of service program how low- and moderate -income (LMI) persons were served this period: General administration expenses associated ;with managing energy assistance and asset development activities oversight and assessments. Indirect admin. General Ledger System OIC OF WASHINGTON For User: INGRID FRANK Page: Page 1 of 1 RW Expenditure report for: 267 - 267 CDBG Date: 5/4i2022 Report year: 7/112021 thru 613012022 Period ending: February 2022 Time: 10:26:1 o AM .......... ._ . - Monthly---- ------.- ---- TO, Account BudgetE Expenditures .............. „.... . Pct Budget Expenditures Pct nnual �udget Unexpended _ Adrnn Admin -Asset DevlEnergyAsst $0.00 $1,535.76 0.00% $0.00 $3,759.62 0.00% $0.00 ($3,759.62) Asst Asset Development $0.00 $13,541.90 0.00% $0.00 $25,037.50 0.00% $0.00 ($25,037.50) Ener Energy Assistance $0.00 $0.00 0.00% $0.00 $3,062.05 0.00% $0.00 ($3,062.05) Report Totals $0.00 $151077.66 0.00% $0.00 $311859.17 0.00% $0.00 ($31,859.17) I le� 0 �e I S •.\,a?.� C? -Y 9� General Ledger System OIC OF WASHINGTON For User: INGRID FRANK Fund Expenditure report for: 267 - CDBG PS 7/1/21-6/30/22 (Fund status: Active) Report year: 7/112021 thru 6/3012022 Period ending: February 2022 .Account Budget. Expenditures Pct Budget Department: 009 INDIRECT ADMIN Program: 02 ADMIN. POOL - BASE 5312 SALARY ADM. ALLOCATION 5354 P/R TAX & BEN. ADM ALLOC. 5999 NON PERSONNEL ADM. ALLOC_ Total for sub program Total for program 02 Total for department 009 Department: 010 PROGRAM Program: 25 PROGRAM SUPPORT 5311 SALARIES,WAGES EXPENSE 5351 FICAOIC EXP 5352 LAND I,OIC SHARE 5353 STATE UCI(ES),OIC. EXP 5355 PAID FAMILY MEDICAL LEAVE 5360 DISABILITY OIC EXPENSE 5361 MEDICAL INSURANCE,OIC EXP 5362 LIFE INSURANCE,OIC EXP 5363 PENSION.OIC EXP 5364 ACCRUED PTO EXP 5910 INSURANCE Total for sub program Sub program: 54 ENERGY ASSISTANCE 5311 SALARIES,WAGES EXPENSE 5351 FICA,OIC EXP 5352 LAND I,OIC SHARE 5353 STATE UCI(ES),OIC EXP Page: Page I of 8 Date: 4/29/2022 Time: 11 -06:59 AM -To Dire Expenditures Pct Annualbudget Unexpended $0.00 $913.07 0.00% $0.00 $2,073.83 0.00% $0.00 ($2,073-83) $0.00 $448.99 0.00% $0.00 $11116-44 0-00% $0.00 ($1,116.44) $0.00 $173.70 0.00% $0.00 $569.35 0.00% $0.00 ($569-35) $0.00 $1)535.76 0.00% $0.00 $31759.62 0.00% $0.00 ..... . .. . .. ...... ($3,759.62) $0.00 $10535.76 0.00% $0.00 $3,759.62 0.00% $0.00 ($3,759.62) $0.00 $1,535.76 0.00% $0.00 $31759-62 0.00% $0.00 ($3,759.62) $0.00 $81452.21 0.00% $0.00 $16,179.15 0-00% $0.00 ($16,179.15) $0-00 $612.46 0.00% $0.00 $1,175.79 0.00% $0.00 ($1,175-79) $0.00 $47-34 0.00% $0.00 $92.39 0.00% $0.00 ($92.39) $0.00 $136-09 0.00% $0.00 $260.49 0.00% $0.00 ($260.49) $0.00 $55.65 0.00% $0.00 $102.02 0.00% $0.00 ($102-02) $0-00 $126.21 0.00% $0.00 $997.45 0.00% $0.00 ($227.45) $0.00 $2,061.55 0.00% $0.00 $3,661-54 0-00% $0.00 ($3,661-54) $0.00 $50.10 0.00% $0.00 $90.24 0.00% $0.00 ($90.24) $0.00 $649.36 0.00% $0.00 $1,190.25 0.00% $0.00 ($1,190.25) $0.00 $1,321 N 17 0.00% $0.00 $2,005.17 0.00% $0.00 ($2,005-17) $0.00 $29.76 0.00% $0.00 $53-01 0.00% $0.00 ($53.01) $0.00 $131541-90 0.00% $0.00 $251037.50 0.00% $0.00 ($25,037.50) aAA, $0.00 $0.00 0.00% $0-00 $1,967.35 0.00% $0.00 ($1,967.35) $0.00 $0.00 0.00% $0.00 $140.65 0.00% $0.00 ($140.65) $0.00 $0.00 0.00% $0.00 $12.38 0.00% $0.00 ($12.38) $0.00 $0.00 0-00% $0-00 $31.68 0.00% $0.00 ($31.68) OIC OF WASHINGTON For User: INGRID FRANK Fund Expenditure report for: 267 - CDBG PS 7/1/21-6/30/22 (Fund status.- Active) Page: Page 2 of 8 Date: 4/29/2022 Report year: 7/112021 thru 6/3012022 Period ending February 2022 Time: 11:07.-01 AM ----Monthly--- To Date Account Budget Expenditures Pct Budget Expenditures Pet Annual budget Unexpended 5355 PAID FAMILY MEDICAL LEAVE $0.00 $0.00 0.00% $0.00 $12.23 0.00% $0-00 ($12.23) 5360 DISABILITY OIC EXPENSE $0.00 $0.00 0.00% $0.00 $27.10 0.00% $0.00 ($27-10) 5361 MEDICAL INSURANCE,01C EXP $0.00 $0.00 0.00% $0.00 $504.84 0.00% $0.00 ($504.84) 5362 LIFE INSURANCE,01C EXP $0-00 $0.00 0.00% $0-00 $10-79 0.00% $0.00 ($10.79) 5363 PENSION,OIC EXP $0.00 $0-00 0.00% $0.00 $142-59 0.00% $0.00 ($142.59) 5364 ACCRUED PTO EXP $0.00 $0.00 0.00% $0.00 $202.71 0-00% $0.00 ($202.71) 5910 INSURANCE $0.00 $0.00 0.00% $0.00 $9.73 0.00% $0.00 ($9.73) Total for sub program 54 $0.00 $0-00 0.00% $0.00 $3,062.05 0.00% Total for program 25 --> $0.00 $137541-90. 0-00% $0.00 $28,099.55 0.00% $0.00 ($28,099.55) Total for department 010 $0.00 $13,541.90 0.00% $0.00 $28,099.55 0.00% $0.00 ($28,099.55) Fund Totals $0.00 $15,077.66 0.00% $0-00 $317859.17 0.00%