| Section |  | Latest Transmittal
 | 
            
            
               | GN 02403.001 | Overview of Field Office Remittance Process | TN 19 10-17 | 
            
            
               | GN 02403.002 | Remittance Processing and Safeguarding Responsibilities in the Field Office (FO) | TN 25 04-18 | 
            
            
               | GN 02403.003 | The Field Office Remittance Input | TN 19 10-17 | 
            
            
               | GN 02403.004 | How to Handle Remittances in the Field Office (FO) Mailroom and Reception Area | TN 25 04-18 | 
            
            
               | GN 02403.005 | Examining Remittances Received in the Field Office | TN 19 10-17 | 
            
            
               | GN 02403.006 | Processing Remittances Received in the Field Office | TN 19 10-17 | 
            
            
               | GN 02403.007 | Field Office (FO) Remittance Automated and Manual Receipt Process | TN 31 05-19 | 
            
            
               | GN 02403.008 | Processing Remittances Received Outside the Field Office | TN 24 04-18 | 
            
            
               | GN 02403.009 | Processing Cash Remittances Received in the Field Office | TN 51 02-24 | 
            
            
               | GN 02403.010 | Completing the Cash Log | TN 27 11-18 | 
            
            
               | GN 02403.011 | Processing Money Gifts Received in the Field Office | TN 20 10-17 | 
            
            
               | GN 02403.012 | Processing Fees Received in the Field Office (FO) | TN 18 12-13 | 
            
            
               | GN 02403.013 | Completing Form SSA-414-U3 Fee Transmittal Registers (SSA-414-U3s) for Fees Sent to
                  Office of Finance (OF) and Office of Earnings Operations (OEO) | TN 17 01-13 | 
            
            
               | GN 02403.014 | Processing Non-Programmatic Fees Received in the Field Office Using the Social Security
                  Electronic Remittance System | TN 39 04-20 | 
            
            
               | GN 02403.015 | Processing Savings Bonds Received as Conserved Funds in the Field Office | TN 21 02-18 | 
            
            
               | GN 02403.016 | Processing Returned Emergency Advance Payments and Immediate Payments - Procedure | TN 22 02-18 | 
            
            
               | GN 02403.020 | Field Office Remittance Transmittal (FORT) and The Credit Card Field Office Remittance
                  Transmittal (CCFORT) | TN 31 05-19 | 
            
            
               | GN 02403.021 | Field Office Daily Receipt Listing — (FODRL) | TN 13 05-03 | 
            
            
               | GN 02403.025 | Processing Remittances After Field Office Remittance Transmittal (FORT) Has Been Requested | TN 30 04-19 | 
            
            
               | GN 02403.030 | Processing Medicare Premium Remittances Received in the Field Office (FO) | TN 43 10-21 | 
            
            
               | GN 02403.040 | Processing Returned Medicare Contractor's Checks and Medicare Overpayment Refunds
                  Received in the Field Office (FO) | TN 35 11-19 | 
            
            
               | GN 02403.050 | Unverified Alert Process -- Remittances | TN 47 08-22 | 
            
            
               | GN 02403.055 | Controlling and Following Up on Fee Transmittal Registers (SSA-414-U3s) for Fees Sent
                  to Office of Finance (OF) and Office of Earnings Operations (OEO) | TN 52 02-24 | 
            
            
               | GN 02403.060 | Preparing a Replacement Field Office Remittance Transmittal (FORT) When the PSC Indicates
                  Non-receipt of the Original FORT or CCFORT | TN 12 04-00 | 
            
            
               | GN 02403.065 | Resolving Discrepancies with Remittances and Field Office Remittance Transmittal (FORT)
                  -- FO and PC Procedure | TN 13 05-03 | 
            
            
               | GN 02403.080 | Ordering SSA-1395-BK Receipt Books | TN 54 10-24 | 
            
            
               | GN 02403.090 | Verifying Receipt of SSA-1395-BKs in FO | TN 15 08-05 | 
            
            
               | GN 02403.095 | Completing Form SSA-3944, Master Control Roster | TN 15 08-05 | 
            
            
               | GN 02403.100 | Issuing and Reassigning SSA-1395-BK Receipt Books | TN 15 08-05 | 
            
            
               | GN 02403.105 | Completing Receipt Book Log | TN 15 08-05 | 
            
            
               | GN 02403.130 | Completing Form SSA-1395-BK (Manual Receipt) | TN 15 08-05 | 
            
            
               | GN 02403.135 | Verifying Completed SSA-1395-BK Receipt Books | TN 15 08-05 | 
            
            
               | GN 02403.136 | Disposing of Completed SSA-1395-BK Receipt Books | TN 12 04-00 | 
            
            
               | GN 02403.145 | Performing the Annual Management Review | TN 13 05-03 | 
            
            
               | GN 02403.150 | Policy for Lost Remittances | TN 53 06-24 | 
            
            
               | GN 02403.155 | Investigating Lost Remittances - FO Procedure | TN 34 10-19 | 
            
            
               | GN 02403.156 | Money Orders Received from Bankrupt Money Order Companies | TN 46 07-22 | 
            
            
               | GN 02403.160 | Writing Off the Cost of Stop Payment Orders for Lost Remittances | TN 34 10-19 | 
            
            
               | GN 02403.161 | Social Security Electronic Remittance System (SERS) for Programmatic and Conserved
                  Funds Remittances | TN 56 11-24 | 
            
            
               | GN 02403.163 | Processing Programmatic Remittances through the Lockbox | TN 57 02-25 |