Resolución de 22 de febrero de 2011, conjunta de la Intervención General de la Administración del Estado y de la Dirección General del Tesoro y Política Financiera, por la que se regula el procedimiento de pagos en divisas. | BOE-A-2011-4475 — Spain law | Esheria

Resolución de 22 de febrero de 2011, conjunta de la Intervención General de la Administración del Estado y de la Dirección General del Tesoro y Política Financiera, por la que se regula el procedimiento de pagos en divisas.

Regulates how Spanish central-government foreign-currency payments are documented, processed, recorded, justified, and reconciled.

AI-assisted research synopsis — verify against the official legal text below.

Jurisdiction
Spain
Instrument
Decision
Citation
BOE-A-2011-4475
Version
Undated source snapshot
Language
es
Updated
Official source
View official record ↗
accounting application scope cash advances comisiones bancarias diferencias de cambio effective date exchange-rate conversion foreign currency foreign exchange foreign-currency conversion foreign-currency payments government accounting payment documentation payment justification payment processing payments payments in foreign currency public accounting public administration public treasury accounting registro contable remisión de documentos contables transfer orders treasury operations +2 more

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Statute overview

About this statute

Regulates how Spanish central-government foreign-currency payments are documented, processed, recorded, justified, and reconciled. Los centros gestores deben emitir documentos ADOK u OK, o PMP, para determinados pagos en divisas vinculados a anticipos de caja fija, según se trate de reposición o de constitución/ampliación y según estén aprobados en euros o en moneda distinta del euro. For certain euro payments for justified payments or petty-cash advances, the payment order must state payment type 36 or 21, and the usual processing rules apply except for special justification deadlines in justified payments. This provision repeals the 10 May 1995 Resolution on procedures for payments in foreign currency. El Cajero de pagos al exterior debe preparar mensualmente una cuenta justificativa y enviarla, con la documentación indicada, a la Intervención Delegada dentro de los dos meses siguientes al justificado.