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Departmental Banking

Dáil Éireann Debate, Tuesday - 16 October 2012

Tuesday, 16 October 2012

Ceisteanna (357)

Michael McGrath

Ceist:

357. Deputy Michael McGrath asked the Minister for Social Protection if she will provide, in tabular form if possible, a list of the bank accounts used by her Department and separately any agencies within the remit of her Department; the purpose of each bank account and the financial institution the bank account is with; the total amount of any interest charged or bank fees incurred by her Department and separately by each agency in 2011 and anticipated figure for 2012; the percentage of payments issued by her Department and each agency which are issued electronically and if the Department agency has any special arrangement in place on the issue of bank charges and fees; and if she will make a statement on the matter. [44855/12]

Amharc ar fhreagra

Freagraí scríofa

The Department of Social Protection operates 35 bank accounts. 17 of these relate to the Social Insurance Fund (SIF) and 18 relate to the Department’s Vote 37. In addition, the Department has two accounts with the Central Bank for receipt of PRSI and Voted Exchequer Funds. The use of individual bank accounts for specific receipts and payments allows for an improved audit trail, ease of reconciliation, segregation and division of duties and work. The individual bank details as requested by the Deputy are set out below.

DSP Bank Accounts

SIF Bank Accounts

Description

Institution

Purpose

Investment Account

Central Bank

Receipt of PRSI for transfer to SIF No1 A/c

No 1 A/c

Bank of Ireland

Distribution account

Central Remittance A/c

Bank of Ireland

General overpayments received centrally

Internal Remittance A/c

Bank of Ireland

General overpayments received at Local Offices

Pension Services Recovery A/c

Bank of Ireland

Receipt of Pension overpayments

Deposit Interest A/c

Bank of Ireland

To earn interest on Exchequer funds pending distribution

Redundancy &Insolvency (R&I) Receipts A/c

Bank of Ireland

Receipt of Redundancy & Insolvency recoveries

R&I Domestic EFT A/c

Bank of Ireland

Domestic Payment of R&I by EFT.

R&I Foreign EFT A/c

Bank of Ireland

Foreign payment of R&I by EFT

SIF ISTS EFT A/c

Bank of Ireland

Payment of certain specified computer systems by EFT

Domestic Pensions EFT A/c

Bank of Ireland

Payment of pensions and other schemes by EFT

Foreign Pensions EFT A/c

Bank of Ireland

Foreign payment of pensions and other schemes by EFT

Cheque A/c T

Bank of Ireland

Scheme payments from certain specified computer systems

Cheque A/c U

Bank of Ireland

Scheme payments from certain specified computer systems

Cheque A/c V

Bank of Ireland

Miscellaneous foreign specified computer payments

Cheque A/c X

Bank of Ireland

Scheme payments from specified computer system

Cheque A/c Y

Bank of Ireland

Manual emergency scheme payments

Cheque A/c Z

Bank of Ireland

Scheme payments from specified computer system

Vote 37 Bank Accounts

Description

Institution

Purpose

PMG A/c

Central Bank

Receipt of Exchequer funding

Back to Work A/c

Bank of Ireland

Payment of BTW by EFT

Child Benefit A/c

Bank of Ireland

Payment of CB by EFT

Pensions & DA A/c

Bank of Ireland

Payment of various schemes by EFT

Vote ISTS EFT A/c

Bank of Ireland

Payment from certain specified computer systems by EFT

Regional Eastern A/c

Bank of Ireland

Receipt of Supplementary Welfare Allowance (SWA) refunds

Regional Mid Western A/c

Bank of Ireland

Receipt of Supplementary Welfare Allowance (SWA) refunds

Regional Midland A/c

Bank of Ireland

Receipt of Supplementary Welfare Allowance (SWA) refunds

Regional North East A/c

Bank of Ireland

Receipt of Supplementary Welfare Allowance (SWA) refunds

Regional North West A/c

Bank of Ireland

Receipt of Supplementary Welfare Allowance (SWA) refunds

Regional South East A/c

Bank of Ireland

Receipt of Supplementary Welfare Allowance (SWA) refunds

Regional Southern A/c

Bank of Ireland

Receipt of Supplementary Welfare Allowance (SWA) refunds

Regional Western A/c

Bank of Ireland

Receipt of Supplementary Welfare Allowance (SWA) refunds

Maintenance Recovery a/c

Bank of Ireland

Receipt account

Vote EFT Supplier A/c

Bank of Ireland

Payment of DSP suppliers by EFT

EMTS (Salaries) A/c

Bank of Ireland

Payment of DSP salaries by EFT

Vote EFT Account

Bank of Ireland

Receipt of miscellaneous Vote amounts

General Registry Office A/c

Ulster Bank

Receipt of GRO fees by Credit/Laser card

Community/Employment A/C

Bank of Ireland

Funding of community employment schemes

There are three statutory bodies operating under the aegis of the Department, namely the Social Welfare Tribunal, the Citizens Information Board and the Pensions Board. In addition, the Office of the Pensions Ombudsman (which does not have a board) comes under the remit of the Department. The Social Welfare Tribunal does not have an individual bank account as expenses are paid directly by the Department. The individual bank details as requested by the Deputy are set out below.

Agency Bank Accounts

Bank Accounts - Pensions Board

Description

Institution

Purpose

Current Account

Bank of Ireland

Lodge money and meet monthly outgoings

Savings Account

Bank of Ireland

Maintain short term monthly cash surpluses

Various Term Deposit Accounts

Bank of Ireland

Invest surplus cash

Various Term Deposit Accounts

AIB

Invest surplus cash

Exchequer Notes

NTMA

Invest surplus cash

Bank Accounts - Citizens Information Board

Description

Institution

Purpose

CIB Bank Account

AIB

Business transactions

Bank Accounts - Office of the Pensions Ombudsman

Description

Institution

Purpose

Standard Commercial Account

Bank of Ireland

Business transactions

The following table sets out the information requested by the Deputy in relation to fees and charges:

Charges / Fees

-

2011 Paid

2012 Estimate

Department of Social Protection

-

-

Clearing charges*

€97,478

€92,000

GRO Transaction & Maintenance Charges**

€3,068

€3,000

-

€100,546

€95,000

-

-

-

Agency - Charges/Fees

-

-

Pensions Board***

€2,400

€3,300

Citizens Information Board****

€815

€990

Office of the Pensions Ombudsman****

€0

€25

€3,215

€4,315

* Charges in respect of clearing cheques through the bank’s computer centre.

**The GRO receipting account is subject to transaction and maintenance charges.

***The Pensions Board has negotiated a discount in respect of regular bank fees.

****No special arrangements in place.

The proportion of payments issued electronically is as follows:

Department of Social Protection

92%

Agency - Pensions Board

96%

Agency - Citizens Information Board

96%

Agency - Office of the Pensions Ombudsman

100%

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