R.C. 5101:12-80-05 - Collection and disbursement
(A) The Personal Responsibility and Work
Opportunity Reconciliation Act (PRWORA) of 1996, 110 Stat. 2105,
42 U.S.C.
654b, requires
mandates all
states to operate a state disbursement unit (SDU) for the purpose of collecting
and disbursing support payments from a single physical location. The SDU
must
will be
integrated with a statewide automated child support system.
(B) In accordance with PRWORA and section
3121.43 of the Revised Code, a
payment due under a support order shall
will be collected and disbursed by the SDU in the
office of child support (OCS) within the Ohio department of job and family
services. SDU, which is integrated with the support enforcement tracking system
(SETS), is divided into two operations:
(1)
Child support payment central (CSPC), which is responsible for collecting and
disbursing payments, and
(2)
Payment analysis and account reconciliation (PAAR). PAAR has two sections:
(a) Payment analysis, which is responsible
for completing financial corrections, establishing recoupment accounts, issuing
manual checks, and processing exception items; and
(b) Account reconciliation, which is
responsible for reconciling the accounts used by SDU in providing support enforcement program services,
including return deposit items.
(C) The following definitions apply to
Chapter 5101:12-80 of the Administrative Code:
(1) "Cover the fiscal impact" means to credit
the OCS master concentration account with funds from a make-whole account or
from a child support enforcement agency (CSEA).
(2) "CSPC collection accounts" mean the bank,
credit union, or savings and loan association accounts that are used by CSPC
for depositing collections received at CSPC.
(3) "Exception item" means a payment that
requires
needs
additional processing, as described in rule
5101:12-80-05.4 of the
Administrative Code, in order to resolve
the payment.
(4) "Make-whole
accounts" mean the bank, credit union, or savings and loan association accounts
that are used to reimburse the OCS master concentration account.
(5) "OCS master concentration account" means
the bank, credit union, or savings and loan association account that OCS
maintains in accordance with section
3121.48 of the Revised Code for
the deposit of support payments OCS receives as trustee for remittance to the
persons entitled to receive the support payments.
(6) "Post" means to
enter
apply a
payment in the CSPC automated payment processing system to a case and order.
(7) "Posting identifiers" mean the five data
elements used to post payments. They are the:
(a) SETS case number;
(b) Order or recoupment account
number;
(c) Obligor's social
security number;
(d) Obligor's
name; and
(e) Obligee's
name.
(8) "Recoupment
account" means a repayment account established by PAAR for the repayment of
funds through CSPC.
(9)
"Recollection account" means an account in
the
a CSPC vendor system
account for repayment of funds for a previously
returned deposit item (RDI).
(10) "Remitter" means any entity or
individual (e.g., obligor, obligee, employer, financial institution, third
party) that submits a payment to CSPC or a CSEA.
(11) "Remitter error" means any factual
misstatement in the submission of a support payment and includes, but is not
limited to: an incorrect posting identifier, payment amount, or payment
distribution calculation contained within the payment or associated remittance
documentation.
(D)
Payments received by CSPC shall
will be allocated and disbursed according to division
5101:12 of the Administrative Code.
(E) The CSEA shall
will establish
and maintain an e-mail account to serve as the CSEA's central point of contact
with SDU for payment-related issues. The CSEA shall
will:
(1) Name the e-mail account in accordance
with the format "county name_financial" (e.g., franklin_financial);
(2) Ensure staff are available to monitor the
e-mail account; and
(3) When a
response is necessary, reply within one business day of receiving the incoming
e-mail from SDU.
(F) The CSEA shall respond to
remitter inquiries regarding collection and disbursement. The CSEA shall only
direct a remitter to CSPC when:
(1) The remitter wants to enroll in
the electronic payment process, or
(2) The remitter has placed a stop
payment on a check that has been sent to CSPC.
(G) The remitter may contact CSPC if
they have questions about payments currently being processed by CSPC that
cannot be resolved by the CSEA.
Notes
Promulgated Under: 119.03
Statutory Authority: 3121.71, 3125.25
Rule Amplifies: 3121.43, 3121.48
Prior Effective Dates: 10/01/1985 (Emer.), 01/01/1986 (Emer.), 04/01/1986, 11/15/1986, 12/01/1987 (Emer.), 02/29/1988, 06/10/1988, 12/20/1988, 09/01/1989 (Emer.), 11/30/1989, 08/01/1990, 01/01/1991, 04/01/1992, 06/01/1993, 12/01/1994, 06/01/1995, 07/01/1996, 01/01/1998, 04/24/2000 (Emer.), 07/10/2000, 10/15/2001, 05/08/2003, 04/03/2005, 01/15/2008, 09/15/2013, 02/15/2020
State regulations are updated quarterly; we currently have two versions available. Below is a comparison between our most recent version and the prior quarterly release. More comparison features will be added as we have more versions to compare.
No prior version found.