[Code of Federal Regulations]

[Title 40, Volume 1]

[Revised as of July 1, 2005]

From the U.S. Government Printing Office via GPO Access

[CITE: 40CFR30.22]



[Page 324-326]

 

                   TITLE 40--PROTECTION OF ENVIRONMENT

 

               CHAPTER I--ENVIRONMENTAL PROTECTION AGENCY

 

PART 30_UNIFORM ADMINISTRATIVE REQUIREMENTS FOR GRANTS AND AGREEMENTS 

 

                    Subpart C_Post-Award Requirements

 

Sec. 30.22  Payment.



    (a) Payment methods shall minimize the time elapsing between the 

transfer of funds from the United States Treasury and the issuance or 

redemption of checks, warrants, or payment by other means by the 

recipients. Payment methods of State agencies or instrumentalities shall 

be consistent with Treasury-State CMIA agreements or default procedures 

codified at 31 CFR part 205.

    (b) Recipients are to be paid in advance, provided they maintain or 

demonstrate the willingness to maintain: written procedures that 

minimize the time elapsing between the transfer of funds and 

disbursement by the recipient; and financial management systems that 

meet the standards for fund control and accountability as established in 

Sec. 30.21. Cash advances to a recipient organization shall be limited 

to the minimum amounts needed and be timed to be in accordance with the 

actual, immediate cash requirements of the recipient organization in 

carrying out the purpose of the approved program or project. The timing 

and amount of cash advances shall be as close as is administratively 

feasible to the actual disbursements by the recipient organization for 

direct program or project costs and the proportionate share of any 

allowable indirect costs.

    (c) Whenever possible, advances shall be consolidated to cover 

anticipated cash needs for all awards made by the EPA to the recipient.

    (1) Advance payment mechanisms include, but are not limited to, 

Treasury check and electronic funds transfer.

    (2) Advance payment mechanisms are subject to 31 CFR part 205.

    (3) Recipients shall be authorized to submit requests for advances 

and reimbursements at least monthly when electronic fund transfers are 

not used.

    (d) Requests for Treasury check advance payment shall be submitted 

on SF-270, ``Request for Advance or Reimbursement,'' or other forms as 

may be authorized by OMB. This form is not to be used when Treasury 

check advance payments are made to the recipient automatically through 

the use of a predetermined payment schedule or if precluded by special 

instructions for electronic funds transfer.

    (e) Reimbursement is the preferred method when the requirements in 

paragraph (b) of this section cannot be met. EPA may also use this 

method on any construction agreement, or if the major portion of the 

construction project is accomplished through private market financing or 

Federal loans, and the Federal assistance constitutes a minor portion of 

the project.

    (1) When the reimbursement method is used, EPA shall make payment 

within 30 days after receipt of the billing, unless the billing is 

improper.

    (2) Recipients shall be authorized to submit request for 

reimbursement at least monthly when electronic funds transfers are not 

used.

    (f) If a recipient cannot meet the criteria for advance payments and 

EPA has determined that reimbursement is not feasible because the 

recipient lacks sufficient working capital, EPA may



[[Page 325]]



provide cash on a working capital advance basis. Under this procedure, 

EPA shall advance cash to the recipient to cover its estimated 

disbursement needs for an initial period generally geared to the 

awardee's disbursing cycle. Thereafter, EPA shall reimburse the 

recipient for its actual cash disbursements. The working capital advance 

method of payment shall not be used for recipients unwilling or unable 

to provide timely advances to their subrecipient to meet the 

subrecipient's actual cash disbursements.

    (g) To the extent available, recipients shall disburse funds 

available from repayments to and interest earned on a revolving fund, 

program income, rebates, refunds, contract settlements, audit recoveries 

and interest earned on such funds before requesting additional cash 

payments.

    (h) Unless otherwise required by statute, EPA shall not withhold 

payments for proper charges made by recipients at any time during the 

project period unless paragraph (h) (1) or (2) of this section applies.

    (1) A recipient has failed to comply with the project objectives, 

the terms and conditions of the award, or Federal reporting 

requirements.

    (2) The recipient or subrecipient is delinquent in a debt to the 

United States as defined in OMB Circular A-129, ``Managing Federal 

Credit Programs.'' Under such conditions, EPA may, upon reasonable 

notice, inform the recipient that payments shall not be made for 

obligations incurred after a specified date until the conditions are 

corrected or the indebtedness to the Federal Government is liquidated.

    (i) Standards governing the use of banks and other institutions as 

depositories of funds advanced under awards are as follows.

    (1) Except for situations described in paragraph (i)(2) of this 

section, EPA shall not require separate depository accounts for funds 

provided to a recipient or establish any eligibility requirements for 

depositories for funds provided to a recipient. However, recipients must 

be able to account for the receipt, obligation and expenditure of funds.

    (2) Advances of Federal funds shall be deposited and maintained in 

insured accounts whenever possible.

    (j) Consistent with the national goal of expanding the opportunities 

for women-owned and minority-owned business enterprises, recipients 

shall be encouraged to use women-owned and minority-owned banks (a bank 

which is owned at least 50 percent by women or minority group members).

    (k) Recipients shall maintain advances of Federal funds in interest 

bearing accounts, unless paragraph (k) (1), (2) or (3) of this section 

applies.

    (1) The recipient receives less than $120,000 in Federal awards per 

year.

    (2) The best reasonably available interest bearing account would not 

be expected to earn interest in excess of $250 per year on Federal cash 

balances.

    (3) The depository would require an average or minimum balance so 

high that it would not be feasible within the expected Federal and non-

Federal cash resources.

    (l) For those entities where CMIA and its implementing regulations 

do not apply, interest earned on Federal advances deposited in interest 

bearing accounts shall be remitted annually to Department of Health and 

Human Services, Payment Management System, P.O. Box 6021, Rockville, MD 

20852. Interest amounts up to $250 per year may be retained by the 

recipient for administrative expense. State universities and hospitals 

shall comply with CMIA, as it pertains to interest. If an entity subject 

to CMIA uses its own funds to pay pre-award costs for discretionary 

awards without prior written approval from EPA, it waives its right to 

recover the interest under CMIA. In keeping with Electronic Funds 

Transfer rules, (31 CFR part 206), interest should be remitted to the 

HHS Payment Management System through an electronic medium such as the 

FEDWIRE Deposit system. Recipients which do not have this capability 

should use a check.

    (m) Except as noted elsewhere in Circular A-110, only the following 

forms shall be authorized for the recipients in requesting advances and 

reimbursements. EPA shall not require more than an original and two 

copies of these forms.



[[Page 326]]



    (1) SF-270, Request for Advance or Reimbursement. EPA shall adopt 

the SF-270 as a standard form for all nonconstruction programs when 

electronic funds transfer or predetermined advance methods are not used. 

However, EPA has the option of using this form for construction programs 

in lieu of the SF-271, ``Outlay Report and Request for Reimbursement for 

Construction Programs.''

    (2) SF-271, Outlay Report and Request for Reimbursement for 

Construction Programs. EPA shall adopt the SF-271 as the standard form 

to be used for requesting reimbursement for construction programs. 

However, the SF-270 may be substituted when EPA determines that it 

provides adequate information to meet its needs.