Policy Text
Copyright Lexipol, LLC 2017/11/28, All Rights Reserved.
Published with permission by Santa Monica Police
Department Cash Handling, Security and Management - 1 Santa Monica Police Department
Santa Monica Police Department Policy Manual
Cash Handling, Security and Management
704.1 PURPOSE AND SCOPE
This policy provides guidelines to ensure Department members handle cash appropriately in the
performance of their duties.
This policy does not address cash-handling issues specific to the Property and Evidence and
Informants policies.
704.2 POLICY
It is the policy of the Santa Monica Police Department to properly handle and document cash
transactions and to maintain accurate records of cash transactions in order to protect the integrity
of Department operations and ensure the public trust.
704.3 PETTY CASH FUNDS
The Chief of Police shall designate a person as the fund manager responsible for maintaining and
managing the petty cash fund.
Each petty cash fund requires the creation and maintenance of an accurate and current transaction
ledger and the filing of invoices, receipts, cash transfer forms and expense reports by the fund
manager.
704.4 PETTY CASH TRANSACTIONS
The fund manager shall document all transactions on the ledger and any other appropriate forms.
Each person participating in the transaction shall sign or otherwise validate the ledger, attesting to
the accuracy of the entry. Transactions should include the filing of an appropriate receipt, invoice
or cash transfer form. Transactions that are not documented by a receipt, invoice or cash transfer
form require an expense report.
704.5 PETTY CASH AUDITS
The fund manager shall perform an audit no less than once every six months. This audit requires
that the fund manager and at least one command staff member, selected by the Chief of Police,
review the transaction ledger and verify the accuracy of the accounting. The fund manager and
the participating member shall sign or otherwise validate the ledger attesting to the accuracy of all
documentation and fund accounting. A discrepancy in the audit requires documentation by those
performing the audit and an immediate reporting of the discrepancy to the Chief of Police.
Transference of fund management to another member shall require a separate petty cash audit
and involve a command staff member.
A separate audit of each petty cash fund should be completed on a random date, approximately
once each year by the Chief of Police or the City. Policy
704
Copyright Lexipol, LLC 2017/11/28, All Rights Reserved.
Published with permission by Santa Monica Police
Department Cash Handling, Security and Management - 2 Santa Monica Police Department
Santa Monica Police Department Policy Manual
Cash Handling, Security and Management
704.6 ROUTINE CASH HANDLING
Those who handle cash as part of their property or Special Investigations Unit supervisor
duties shall discharge those duties in accordance with the Property and Evidence and
Informants policies.
Members who routinely accept payment for Department services shall discharge those duties in
accordance with the procedures established for those tasks.
704.7 OTHER CASH HANDLING
Members of the Department who, within the course of their duties, are in possession of cash
that is not their property or that is outside their defined cash-handling responsibilities shall, as
soon as practicable, verify the amount, summon another member to verify their accounting, and
process the cash for safekeeping or as evidence or found property, in accordance with the
Property and Evidence Policy.
Cash in excess of $1,000 requires immediate notification of a supervisor, special
handling, verification and accounting by the supervisor. Each member involved in this
process shall complete an appropriate report or record entry.