CASH BONDS
BOE staff to complete the following tasks in order to process cash bonds.
- Verify the “Application for Bond Preparation” form is accurate (completed by Permittee)
- Complete the “Improvement Cash Bond Receipt” form
- Go to the Bond Control Group Google spreadsheet (LOCATION TO SPREADSHEET) and enter the project information including:
- Name of Depositor
- Bond Amount
- Branch Receipt No.
- Request person
- District Office
- Date
- Obtain the Miscellaneous Cash Bond No. from the Bond Control Group Google spreadsheet and place on the “Improvement Cash Bond Receipt” form
- Go to the Bond Control Group Google spreadsheet (LOCATION TO SPREADSHEET) and enter the project information including:
- Process the cash bond payment and bond preparation fee payment with cashier (cashier will mail a copy to the Bond Control Group in the Valley District office)
- The following documents are to be uploaded:
- Application for Bond Preparation
- Improvement Cash Bond Receipt
- General Bond Preparation Form / Receipt
- Provide the Permittee with a copy of the receipt
- Click Add Misc. Cash Bond on the right side of the screen
- Misc. Cash Bond No.: Enter the number shown on the Bond Control Group Google spreadsheet
- Receipt Number: Enter the number from the upper right corner of the “Improvement Cash Bond Receipt”
- Actual Bond Amount
- Date Application Received
- Date Bond Forms Prepared
- Project Location (Title)
- Principal
- Principal Address
- City
- State
- Zip Code
- Phone
SURETY BONDS
Alan wants to Bond Processing Team to Complete. This section may already be documented in the General Section
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