TN 1 (07-97)
HI 01015.005 Form SSA-666, Adjustment in Trust Fund Accounts
Cases will arise in which a beneficiary has been paid benefits out of, or receipts
have been credited to, the incorrect account or trust fund. When this occurs, the
Benefit Authorizer or Health Insurance and Inquiries Examiner must prepare a Form
SSA-666, Adjustment in Trust Fund Accounts, to request the adjustment between the
trust funds or accounts involved. These forms are then forwarded to the Fiscal Control
and Audit Branch and used to prepare a voucher (Form SF-1081 or 1017G, as appropriate)
to effectuate the transfer.