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                     AUDIENCE: CA, CRTA, CR, CLADJ, BA, BATA, SR, RECOVR  
 
 
Although steps are taken to avoid the issuance of duplicate checks or any other overpayment,
            occasionally subsequent claims folder review reveals that a duplicate or incorrect
            payment(s) has been made. Due to the critical nature of these cases, special procedure
            must be followed in the recovery of the overpayment to avoid future critical case
            handling.
         
         If, in the process of associating the “dummy” or duplicate folder with the original claims folder, it is discovered that an incorrect
            payment(s) was issued and the amount involves at least $1.00, a record of the overpayment
            will be established on ROAR. A 30-day diary period will be estabished automatically
            unless a different period is input.
         
         Where the 30-day period has already expired or upon maturity of the diary if the overpayment
            has not been refunded or the check(s) returned, the reviewing office will send notice
            of the overpayment and institute regular recovery procedures. The explanation of overpayment
            to the beneficiary should include the month(s) involved, the exact amount of the checks
            issued for the month(s), the exact or approximate date(s) of payment(s), and the amount
            that was actually due.
         
          Example: 
         “A review of your claims record indicates that you received duplicate payments for
            the months of May, 1974 and July, 1974. You were paid checks on June 3, 1974, and
            August 3, 1974, for those months in the amount of $144.40 each. You were also paid
            checks covering this same period on or about June 24, 1974, and August 14, 1974, in
            the amount of $150.00 each. Since you were due only $144.40 for each month, you were
            overpaid $300.00.”
         
         If at any time a protest to the LDO determination or a request for waiver is received
            by the benefit authorizer, the case will be immediately referred to the recovery reviewer
            for any required action, after preparing an SSA-1112, TC 23.