FUTURE STUDENTS  |  CURRENT STUDENTS  |  ALUMNI  |  VISITORS & COMMUNITY
HOME  |  ACADEMICS & RESEARCH  |  FACULTY & STAFF  |  ATHLETICS
 
  Business Office

Resources
• Check Requests
• Deferred Payments (Day School)
• Deferred Payments (Continuing Studies)
• Deferred Payments (Graduate Studies)
• Federal Perkins Loans
• Staff
• Student Loan Refunds

Forms
• Check Request
• Deferred Payment Agreement (Day School)
• Deferred Payment Agreement (Continuing Studies)
• Deferred Payment Agreement (Graduate Studies)
• Deferred Payment Agreement (Undergraduate)
• Monthly Expense Account
• Purchase Order Requisition

Related Links
• Financial Aid
• Tuition & Fees
• Records & Registration
• College of Graduate & Continuing Studies
• Speaker’s Corner
• DU Calendar

Contact:
Financial Services
Business Office
Burham Hall, Room 100
900 North Benton Avenue
Springfield, MO 65802
Office: (417) 873-7342
Fax: (417) 873-6986
businessoffice@drury.edu

Check Request Procedures

  • A Check Request Form is not necessary if you have an invoice. The account number, purchase order number and authorizing signature can be put on the front of the invoice.
  • Use a Check Request Form or Expense Report for reimbursement, advances, and any items which do not have an invoice.
  • If a copy of the invoice needs to be sent with the check, please include that extra copy.
  • If the invoice has a remittance slip attached to be sent with the check, please do not write on it. If you write the information on the remittance slip, I have to copy it in order to have that information in the files. If all you have is a remittance slip (such as a subscription reminder) please include a copy for our files so I can return the remittance slip with the check.
  • If you have several invoices for one vendor, staple each invoice with whatever attachments you have (packing list, purchase order). The total page should be on top if you have a mulitple page invoice. These invoices can then be clipped or banded together. Please don't staple the entire bunch together.
  • When requesting a check via a Check Request Form, please supply complete information. Use the payee's full name (i.e.:M. Sue Rollins, not just Sue Rollins). Write the 11 digit account number(s) in the space provided. Leave the vendor number space blank. The account administrator should sign the request.
  • If the account administrator is requesting a check payable to themselves, the Check Request Form needs to be signed by the appropriate vice-president.
  • If the Check Request Form is for any type of labor or service and the supplier is not a corporation, the social security number or federal identification number needs to be supplied. Student workers, faculty, or staff who provides labor or service outside their regular positions must be paid through Payroll, not Accounts Payable.
  • The current mileage rate is $.505 per mile. Mileage is paid through Accounts Payable not Petty Cash. If you request mileage reimbursement do not also request gas reimbursement. Gas reimbursement is only paid for campus vehicles or leased vehicles.
  • Please remember Drury is exempt from sales tax. Purchases should not include sales tax. Our office can supply you with a copy of the Drury University tax-exempt letter to be used for any taxable purchase. This includes meals.
  • Advances need to be accountd for within 60 days of the event. This is an IRS requirement. This means receipts and/or cash totaling the amount of the advance need to be submitted to our office. Advances are charged to the recipient's sutdent/faculty/staff account when issued. When accounted for, the appropriate amount is charged to the correct department account and removed from the receivable account.
  • Checks are issued each Thursday. Checks held for pick up are available after 2:00 p.m. in the Business Office. All other checks are mailed Thursday afternoon. If checks marked to hold for pick-up are still here after two (2) weeks, they are mailed to the address on the check. Checks are never put in campus mail.
  • Invoices and check requests should be in the Business Office or the Accounts Payable box by the end of the day Friday to be included in the next week's checks.

  • Tell a friend about this page
    Your e-mail:    
    Friend's e-mail:
       

Help | Policies | Bug report