Constituent Offices / System Cash Office

System Cash Office (SCO)

Managing financial collections, cash disbursements, Landbank electronic payment processing, and supplier check releases across the University of the Philippines System.

Citizen's Charter Standards ISO Process Flows Cashier Service Windows
Cashier Hours
Mon - Fri: 8:00 AM - 5:00 PM (No Noon Break)
Office Location
SFAB Building, Magsaysay rd. cor Agoncillo, UP Diliman Campus, Quezon City
Trunkline & VOIP Extensions
(02) 8981-8500 loc. 2540 / 2618 | VOIP: 2540 / 2618
UP System Citizen's Charter

Frontline Service Guarantees & Turnaround Times

Continuous Service: No Noon Break

In accordance with the official UP System Citizen's Charter, SCO maintains a strict continuous counter service from 8:00 AM to 5:00 PM (No Noon Break) with guaranteed fast-track processing targets:

Official Collections & OR Issuance
8 Minutes
Target turnaround under normal circumstances
Check & RDA Release
10 Minutes
Target turnaround from vault retrieval to release
Executive Mandate

Fiscal Governance & Cashiering Excellence

The System Cash Office (SCO) operates under the direct supervision of the Office of the Vice President for Administration (OVPA). It safeguards University monetary assets, enforces strict treasury governance according to New Government Accounting System (NGAS) and Commission on Audit (COA) standards, and maintains transparent, accessible payment systems for suppliers, personnel, and students across all Constituent Universities (CUs).

Institutional History

BOR 1144th Executive Creation & Institutional Evolution

The UP System Cash Office was officially established at the 1144th Meeting of the Board of Regents (BOR) on 31 August 2000 via Executive Order, becoming operational on May 5, 2001. Previously serviced by the UP Diliman Cash Office, the creation of a dedicated System Cash Office addressed the growing volume of System-wide transactions. Today, SCO operates out of the SFAB Building (Old School of Statistics), Magsaysay Ave. cor. A. Agoncillo St., maintaining regular cash management reporting on Cash Receipts, Cash Disbursements, and Investments submitted to COA, OVPPF, DBM, and the UP President.

Financial Management

System Cash Office Core Functions

Providing streamlined financial management across four core functional operations under NGAS manual procedural guidelines.

Check & ADA Disbursement

Issuance of commercial checks, Advice to Debit Account (ADA), and direct electronic transfers to vendors, suppliers, and contractor billing.

Collections & Receipting

Official Receipt issuance for student fees, university lease rentals, trust funds, administrative certifications, and institutional collections.

Petty Cash & Special Advances

Management of emergency petty cash funds, official travel advances, honoraria disbursements, and liquidation verification.

Landbank E-Payments

Digital cashiering integration via Landbank Link.BizPortal, WeAccess e-wallets, and electronic bank credit validation.

Quality Management System (QMS)

Official Standard Operating Process Flows

Audited ISO process workflows for electronic RDA bank transfers, check disbursements, and revenue receipting.

Request to Debit Account (RDA)

Landbank WeAccess E-Transfer

Request to Debit Account (RDA) handles electronic bank disbursements via Landbank WeAccess for Payroll, Honoraria, Overload, Reimbursements, and Student Allowances:

  1. DV Receipt: DVs received from System Accounting Office (UPSAO).
  2. Data Audit & Encoding: SCO Staff verifies payee name, bank account number, amount, and fund code, then encodes into Landbank WeAccess.
  3. Chief Certification: SCO Chief verifies all encoded data for accuracy and counter-signs.
  4. VPA Final Executive Approval: Transmitted to Vice President for Administration for final digital approval and direct bank credit dispatch.

Commercial Check Disbursement

Supplier & Vendor Payments

Commercial Check Disbursement handles vendor bills, contractor payments, and special cash advances:

  1. Disbursement Voucher Audit: SCO checks DVs for valid supporting documents and fund codes.
  2. Check Printing & Counter-signing: Commercial check printed, recorded in Check Register, and signed by SCO Chief and VPA.
  3. Vault Storage: Check deposited into Cashier Vault pending release.
  4. Window 2 Release: Claimant presents BIR Official Receipt/Sales Invoice and 2 valid IDs at Window 2 for check release.

Receivable & Collections

Official Receipt & Bank Deposit

Collection of official university revenues, grants, rental payments, and administrative fees:

  1. Order of Payment: Payee presents Order of Payment from issuing university unit.
  2. Remittance & Verification: Cashier verifies documents and receives payment (cash, check, or electronic transfer).
  3. Official Receipt Issuance: Official Receipt (OR) issued in 5 minutes and collections deposited daily to authorized government depository bank.
Service Directory

SFAB Building Cashiering Windows

Visit the designated service window for your specific financial transaction.

WINDOW 1

Official Collections

Official Receipt issuance for student tuition, transcript fees, administrative clearances, dorm deposits, and general collections.

WINDOW 2

Supplier Check Releasing

Disbursement checks and Advice to Debit Account (ADA) notices for suppliers, contractors, and corporate vendors.

WINDOW 3

Payroll & Honoraria

Faculty & staff payroll checks, overload honoraria, research stipends, and student assistant allowances.

WINDOW 4

Special Cash Advances

Official travel cash advances, project fund liquidations, petty cash replenishment, and emergency advances.

Official Policy

Check Releasing Guidelines & Requirements

To ensure smooth verification and prevent authorization delays, please bring mandatory documents when claiming your check at Window 2, Cash Office:

  • 1. Original BIR Official Receipt / Sales Invoice: BIR-registered Official Receipt matching the DV amount.
  • 2. Two (2) Valid Government IDs: Passport, Driver's License, UMID, PRC ID, or Company ID with photo and signature.
  • 3. Special Power of Attorney (SPA) / Authorization Letter: Required if a representative is claiming on behalf of the supplier or payee, accompanied by valid IDs of both payee and representative.

Cashier Inquiry & Assistance

Office Location
SFAB Building, Magsaysay rd. cor Agoncillo, UP Diliman Campus, Quezon City
Direct Line & VOIP
(02) 8981-8500 loc. 2524 / 2525 | VOIP: 2618 / 2540
Email Address
Leadership & Staff Directory

System Cash Office Organizational Team

Operating under OVPA Executive Leadership, serving the UP System with honor and excellence.

OVPA Executive Leadership

Tiffany Tan

Vice President for Administration (VP)

Augustus Resurreccion

Assistant Vice President & HR Director

Richard Javier

Assistant Vice President (AVP)

System Cash Office Operations Team

Jennifer M. Tolentino

Acting Chief

[email protected]
Daniella Katrice G. Garados

Junior Office Assistant

[email protected]
Doris L. Mendiola

Senior Administrative Assistant I

[email protected]
John-Zel Y. Abrajano

Administrative Assistant II

[email protected]
Manolito G. Alvarez

Administrative Aide VI

[email protected]
Clenia S. Delos Santos

Administrative Aide I

[email protected]
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Supplier Check Portal

PIN Protected Self-Service Status

Search by Supplier / Payee Name or DV Number. Amounts are protected by a 6-digit security PIN password.

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