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008220413t20212021onc     ob   f000 0 eng d
020 |a9780660430829
040 |aCaOODSP|beng|erda|cCaOODSP
043 |an-cn---
0861 |aBT22-224/5-2021E-PDF
24500|aDirective on public money and receivables.
264 1|aOttawa, Ontario : |bTreasury Board of Canada Secretariat = Secrétariat du Conseil du trésor du Canada, |c2021.
264 4|c©2021
300 |a1 online resource (11 unnumbered pages)
336 |atext|btxt|2rdacontent
337 |acomputer|bc|2rdamedia
338 |aonline resource|bcr|2rdacarrier
500 |aIssued also in French under title: Guide de gestion des comptes débiteurs.
500 |a"Published: 2021-03-24."
504 |aIncludes bibliographical references.
520 |a"This directive describes the requirements and controls for the effective and efficient management of public money and receivables in order to minimize the risk of loss, error, fraud or improper consumption"--Provided by publisher.
650 0|aFinance, Public|xGovernment policy|zCanada.
650 0|aAccounts receivable|xGovernment policy|zCanada.
7101 |aCanada. |bTreasury Board, |eissuing body.
77508|tGuide de gestion des comptes débiteurs.|w(CaOODSP)9.910242
795 |tDirective on public money and receivables |b(2017)|w(CaOODSP)9.843642
85640|qPDF|s202 KB|uhttps://publications.gc.ca/collections/collection_2023/sct-tbs/BT22-224-5-2021-eng.pdf
8564 |qHTML|sN/A|uhttps://www.tbs-sct.canada.ca/pol/doc-eng.aspx?id=32505