Skip to Content

The Federal Reserve - FRBservices.org
  • Application Sign In
    • Discount Window Direct
    • FedLine Developer
    • FedLine Web
    • Reporting Central
    • Reserves Central
    • Structure Central
    • Survey Central
    • Term Deposit Facility
  • Service Status
  • Contact
  • Financial Services
    • Accounting
      • Accounting Information Services (AIS) – Premium Services
      • Account Management Information
      • Daily Statement of Account
      • Daylight Overdraft Reports
      • Statement of Service Charges

      • Accounting Services 2026 Fee Schedulle
      • Account Services Business Continuity Guide
      • Accounting Services Forms
      • Accounting Services Resources
      • Accounting Services Setup
    • Check Services
      • Check Adjustments Services
      • Duplicate Check Notification
      • Electronic Check Processing
      • FedImage and Electronic Check Services
      • FedPayments Reporter Service for Check Services
      • Foreign and Canadian Check Service
      • Image-Enabled Savings Bond Processing
      • Paper Check Clearing Services

      • Check Services 2026 Fee Schedule
      • Check Services Forms
      • Check Services Resources
      • Check Services Setup
      • Check Services Testing Opportunities
    • FedACH Services
      • Exception Resolution Service
      • FedACH Information File Service
      • FedACH Origination and Receipt
      • FedACH Receipt Discount Program
      • FedACH Risk Management Services
      • FedACH SameDay Service
      • FedGlobal ACH Payments
      • FedPayments Insights Service
      • FedPayments Reporter Service for FedACH Services

      • FedACH Services 2026 Fee Schedule
      • FedACH Services Business Continuity Guide
      • FedACH Services Forms
      • FedACH Services Resources
      • FedACH Services Setup
      • FedACH Services Testing Opportunities
    • FedCash Services
      • Cash Visibility
      • Coin
      • Coin Terminal Services
      • Currency
      • FedCash Services via the FedLine Web Solution

      • FedCash Services 2026 Fee Schedule
      • FedCash Services Business Continuity Guide
      • FedCash Services Forms
      • FedCash Services Resources
      • FedCash Services Setup
    • FedNow Service
      • About the FedNow Service
      • Blog Articles (Off-site)
      • FedNow Explorer (Off-site)
      • FedNow Service Participants and Service Providers
      • Industry Stories
      • Instant Payments Education (Off-site)
      • Innovator Exchange
      • Participant Collaboration

      • FedNow Service 2026 Fee Schedule
      • FedNow Service Forms
      • FedNow Service Resources
    • Fedwire Funds Service
      • FedTransaction Analyzer

      • Fedwire Funds Service 2026 Fee Schedules
      • Fedwire Funds Service Business Continuity Guide
      • Fedwire Funds Service Forms
      • Fedwire Funds Service Resources
      • Fedwire Funds Service Setup
      • Fedwire Services Testing Opportunities
    • Fedwire Securities Service
      • Fedwire Securities Joint Custody Service

      • Fedwire Securities Resources
      • Fedwire Securities Service 2026 Fee Schedules
      • Fedwire Securities Service Business Continuity Guide
      • Fedwire Securities Service Forms
      • Fedwire Securities Service Setup
      • Fedwire Services Testing Opportunities
    • Multiservice Solutions
      • Payee Name Verification

      • Multiservice Solutions 2026 Fee Schedules
    • National Settlement Service
      • National Settlement Service 2026 Fee Schedule
      • National Settlement Service Business Continuity Guide
      • National Settlement Service Forms
      • National Settlement Service Resources
      • National Settlement Service Setup
  • Central Bank
    • Lending Central (Discount Window)
      • Discount Window Direct (DWD) Early Adopter Program Expression of Interest Form
      • Discount Window Direct (DWD) Feature Guide

      • Central Bank Forms
      • Central Bank Resources
      • Discount Window Direct (DWD) Application Setup
    • Reporting Central
      • Reporting Central and Structure Central User Guides

      • Central Bank Forms
      • Reporting Central and Structure Central Applications Setup
      • Reporting Central National Business Continuity Information
      • Reporting Central Resources
    • Reserves Central
      • Excess Balance Account
      • Schedule for Maintenance Periods and Interest Payments on Reserve Balances
      • Term Deposit Facility

      • Central Bank Forms
      • Central Bank Resources
      • Reserves Administration Business Continuity Guide
      • Reserves Central Service Setup
  • Treasury Services
    • Collateral Services
    • Savings Bonds for Financial Institutions
    • Savings Bonds News You Can Use
    • Treasury ACH Reclamation
    • Treasury Auctions
    • Treasury Check Reclamation

    • Treasury Services Business Continuity Guide
    • Treasury Service Forms
    • Treasury Services Resources
    • Treasury Services Setup
  • FedLine Solutions
    • FedLine Advantage
    • FedLine Command
    • FedLine Developer
    • FedLine Direct
    • FedLine Web
    • FedMail

    • Application and Connectivity Testing
    • FedLine Solutions 2026 Fee Schedules
    • FedLine Solutions Business Continuity Guide
    • FedLine Solutions Forms
    • FedLine Solutions Resources
    • FedLine Solutions Setup
  • Forms
    • Accounting Services Forms
    • Central Bank Forms
    • Check Services Forms
    • FedACH Services Forms
    • FedCash Services Forms
    • FedLine Solutions Forms
    • FedNow Service Forms
    • Fedwire Funds Service Forms
    • Fedwire Securities Service Forms
    • National Settlement Service Forms
    • Treasury Services Forms

    • Forms Frequently Asked Questions
  • Resources
    • Central Bank Resources
      • Central Bank Frequently Asked Questions
      • Reporting Central Resources
      • Structure Central Resources
      • Survey Central Resources
    • E-Payments Routing Directory
    • FedLine Solutions Resources
      • End User Authorization Contact Support Page for FedLine EUACs
      • FedLine Command Environment and Configuration Change Matrix
      • FedLine Direct File Environment and Configuration Change Matrix
      • FedLine Direct Message Environment and Configuration Change Matrix
      • FedLine Solutions Frequently Asked Questions
    • Financial Services Resources
      • Accounting Services Resources
      • Check Services Resources
      • FedACH Services Resources
      • FedCash Services Resources
      • FedGlobal ACH Payments Foreign Exchange Rates
      • FedNow Service Resources
      • Fedwire Funds Service Resources
      • Fedwire Securities Resources
      • National Settlement Service Resources
    • Industry Links
    • Resource Centers
      • Business Continuity Resource Center
      • FedLine Solutions Security and Resiliency Assurance Program (“Assurance Program”) Resource Center
      • International Payments Resource Center
      • Same Day ACH Resource Center
      • Welcome to the Business Banking Toolbox!
      • Welcome to the Risk Management Toolbox!
    • Rules and Regulations
      • Operating Circulars
      • Regulations
    • Service and Access Setup
      • Current Financial Services Customer – Add or Modify Services or Access
      • Financial Institution Merger – Modify Services or Access
      • New Financial Services Customer – Setup Services or Access
      • Payment Processors and Third-Party Service Providers – Set Up Services and Access
    • Service Fees
    • Treasury Services Resources
      • Collateral Services
      • Savings Bonds for Financial Institutions
      • Treasury Auctions
      • Treasury Services Frequently Asked Questions
  • Education
    • Federal Reserve Bank Webinars
    • Industry Events
    • Products & Services Education
  • News
    • Communications
    • Fed360
    • Press Releases
    • Research
    • Stay Engaged: Email Newsletters
  • About
    • About Federal Reserve Bank Services
    • Advisory Groups
    • Federal Reserve Bank Offices
    • Financial Services Leadership Team
    • Holiday Schedules
Home/Resources/Financial Services Resources/Check Services Resources/Check Adjustments Quick Reference Guide (QRG)/Image-enabled Savings Bond Processing Quick Reference Guide

Check Re­sources

  • Check Adjustments Quick Reference Guide (QRG)
    • Check Adjustments Government Types
    • Check Adjustments Tips
    • Forward Collection & Return Letter Error Type
    • General Notes
    • Image-enabled Savings Bond Processing Quick Reference Guide
  • Check Services Frequently Asked Questions
    • Check Adjustments Frequently Asked Questions
    • Electronic Check Processing Frequently Asked Questions
    • FedDetect Duplicate Check Notification Frequently Asked Questions
    • FedPayments Reporter Service for Check Services Frequently Asked Questions
    • FedReceipt Daily — Returns Frequently Asked Questions
  • Electronic Check Adjustment Entry Information
    • Check Adjustments Supporting Documentation (Attachments) Requirements
  • Foreign and Canadian Check Processing
    • Canadian Check Collection Service Previous Canadian Exchange Rates
    • Canadian Check Collection Service User Guide
    • Foreign Check User Guide
  • Non-Electronic (Paper-Based) Check Adjustments Services

Image-enabled Savings Bond Processing Quick Reference Guide

Table of Contents

  • Eligible Savings Bonds
  • Deposit Locations
  • Deposit Deadlines
  • Deposit Requirements Mixed or Separately Sorted ICL Original Paper Bonds
  • Deposit Requirements Facsimile Savings Bonds (To be used ONLY if the original bond is lost or destroyed)
  • Availability and Posting Times
  • Item Fees
  • Pricing and Quality Errors
  • Accounting Changes
  • Retention Requirements
  • Exceptions and Redeposits
  • Testing

Eligible Savings Bonds

Mixed or Separately Sorted Image Cash Letter (ICL)

  • Series E (Half-Sheet Paper and Card Only — No Full-Sheet)
  • Series EE
  • Series I
  • Savings Notes

Separately Sorted Paper Cash Letter

  • Series E (Half-Sheet Paper and Card Only — No Full-Sheet)
  • Series EE
  • Series I
  • Savings Notes

Separately Sorted Full-Sheet Paper Cash Letter

  • Series A (Full-Sheet Paper)
  • Series B (Full-Sheet Paper)
  • Series C (Full-Sheet Paper)
  • Series D (Full-Sheet Paper)
  • Series E (Full-Sheet Paper)

Facsimile Paper Cash Letter

  • Facsimile of Series A
  • Facsimile of Series B
  • Facsimile of Series C
  • Facsimile of Series D
  • Facsimile of Series E
  • Facsimile of Series EE
  • Facsimile of Series I
  • Facsimile of Savings Notes

Note: Paper savings bonds are not accepted in mixed paper cash letters.

Deposit Locations

Mixed ICL (Worktype “C”)

All Federal Reserve iCPCS locations, consistent with current deposit locations

Separately Sorted ICL (Worktype “J”)

Federal Reserve Bank of Atlanta only
Destination RT 0610-0014-6

All Paper and Facsimile Savings Bonds

Federal Reserve Bank of Atlanta
Check Department — Savings Bond Processing
1000 Peachtree Street NE
Atlanta, GA 30309-4470

Deposit Deadlines

Mixed and Separately Sorted ICLs

9:00 PM ET; 1:00 AM ET; 5:00 AM ET; and noon ET

Paper Savings Bonds and Facsimile Savings Bonds

7:00 PM ET at the Atlanta Office

Deposit Requirements Mixed or Separately Sorted ICL Original Paper Bonds

Mixed and Separately Sorted ICL

  • Depositing institution must have completed a Check Services Agreement (PDF) on file or the file will be rejected.
    • Depositing institutions that plan to send a separately sorted ICL must complete a new Check Services agreement. As an alternative, the Reserve Banks will accept an email notification by an authorized representative of the depositing institution. The agreement or notification must be sent to the Support Center at E: ccc.bankservices@kc.frb.org prior to initiating the service.
    • No new agreement is needed for savings bonds included in a mixed ICL.
  • Files must conform to ANSI X9.37 and Universal Companion Document requirements. Refer to the Electronic Check Processing Technical Information page.
  • Savings bonds with a preprinted MICR line deposited in ICLs must contain the full MICR line in the designated fields of the Type 25 item detail record.
  • For savings bonds without a preprinted MICR line, only the routing number for savings bonds and the redemption amount in the designated fields of the Type 25 item detail record will be required.
  • The routing number for all savings bonds, regardless of issue date, series, or denomination is 0000-9000-7.
  • Savings bonds do not need a physical check indorsement or encoding. An electronic indorsement in the Type 26 or Type 28 records is required, consistent with check image deposit guidelines.
  • Paying agents must continue to apply the paying agent stamp on the front of the savings bond and complete the owner and paying agent information on the back of the bond.

Paper Savings Bonds

  • Depositing institution must be eligible for paper check deposits. Contact your relationship manager or FedACH® and Check Services Customer Support to begin the process of signing up.
  • Cash letter forms must be completed and include the depositor routing number, work type, cash letter total, the item count, and the date along with a detailed listing of the items included in the cash letter.
  • Items must be encoded or stripped with the routing number for savings bonds and the redemption amount in the appropriate fields of the MICR line.

Deposit Requirements Facsimile Savings Bonds (To be used ONLY if the original bond is lost or destroyed)

Facsimile Savings Bonds

If no image of the bond is available:

  • Complete the Application For Relief Due To The Loss, Theft, or Destruction of Paid United States Savings Bonds/Notes (FS Form 2517) (Off-site) and submit it to the following address:
    Treasury Retail Securities Site
    P.O. Box 214
    Minneapolis, MN 55480-0214
  • Fiscal Service will respond with FS Form 5320
  • Submit FS Form 5320 along with the Facsimile Cash Letter Deposit Form (PDF) to:
    Federal Reserve Bank of Atlanta
    Attn: Check Department — Savings Bond Processing
    1000 Peachtree Street NE
    Atlanta, GA 30309-4470

If an image of the bond is available:

  • Complete the Indemnification Statement (form 700A) (Off-site, PDF)
  • Prepare required documentation: On the front side on a single 8 ½” by 11” sheet of paper, copy the indemnification statement followed by images of the front and back of the bond
  • Complete a Facsimile Cash Letter Deposit Form (PDF)
    Submit the Facsimile Cash Letter Deposit form as well as all required documentation to:
    Federal Reserve Bank of Atlanta
    Attn: Check Department — Savings Bond Processing
    1000 Peachtree Street NE
    Atlanta, GA 30309-4470

Availability and Posting Times

Separately Sorted Savings Bond ICLs

  • Immediate availability at all ICL deadlines
  • 8:30 AM ET posting time for separately sorted Savings Bond ICLs received at the 9:00 PM ET, 1:00 AM ET, and 5:00 AM ET ICL deadlines
  • 5:00 PM ET for separately sorted Savings Bond ICLs received at the noon ET ICL deadline

Savings Bonds in Mixed ICLs

  • Immediate availability at all ICL deadlines
  • Posting times are the same as the posting times for commercial check deposits

Separately Sorted Paper and Facsimile Savings Bonds

  • Immediate availability at the 7:00 PM ET paper deposit deadline
  • One-day deferred availability after 7:00 PM ET paper deposit deadline
  • 8:30 AM ET posting time for separately sorted paper savings bonds and facsimile savings bonds received by the 7:00 PM ET deposit deadline

Item Fees

Mixed ICLs

Savings bonds in a mixed cash letter will be assessed the Tier 1 electronic fee at the appropriate deadline. This pricing is consistent with the pricing for Treasury items and Postal Money Orders included in mixed ICLs.

Separately Sorted ICL

No charge

Separately Sorted Paper Bonds

No charge

Separately Sorted Full Sheet Paper Bonds

No charge

Separately Sorted Facsimile Savings Bonds

No charge

Pricing and Quality Errors

The following adjustment investigation types (I-Types) will be used when image-enabled savings bond processing is available. All I-Types and standard processing requirements are consistent with check image deposits except as noted.

Mixed or Separately Sorted ICLs

  • Non-Conforming Item (NCI)
  • Pricing Error Adjustment (PEA)
  • Paid Adjustment (PAID)
  • Original or Sufficient Copy Request (OSCR)
  • Entry in Error Adjustment (ERR)

Paper or Facsimile Savings Bonds

  • Non-Conforming Item (NCI)
  • Pricing Error Adjustment (PEA)
  • Paid Adjustment (PAID)
  • Entry in Error Adjustment (ERR)

Accounting Changes

Mixed ICLs

Credit for savings bonds included in mixed ICLs will be included with the credits for all other items in the cash letter. Credits will be reflected on the Statement of Account from the receiving Federal Reserve Bank.

Separately Sorted ICLs, Paper and Facsimile Savings Bonds

Credits for separately sorted ICLs, as well as paper and facsimile savings bonds, will originate from the Federal Reserve Bank of Atlanta (0610-0014-6).

Retention Requirements

Paying agents must retain paper savings bonds for at least 30 calendar days following the date that the image cash letter (ICL) of the paid savings bond was submitted to the Federal Reserve Bank.

Paper savings bonds must be stored in a secured location with physical, procedural, and systemic controls in place to ensure that access to the securities is restricted to authorized personnel and that the securities are protected from loss, theft, destruction, and unauthorized or inadvertent viewing.

At the end of the retention period, paper savings bonds must be destroyed by burning, mulching, pulverizing, or shredding beyond recognition and reconstruction.

Detailed information on the statutes and regulations governing the U.S. Savings Bond Program is provided in the Code of Federal Regulations Department Circulars (Off-site).

Exceptions and Redeposits

Savings bonds can be deposited in forward cash letters only. No Return cash letter types will be supported.

Substitute checks are not allowed for savings bond processing. In situations where a savings bond cannot be deposited as an image, institutions may redeposit the paper savings bond or may use the facsimile bond process when the physical bond is not available.

Testing

Since savings bond processing and deposit requirements will be consistent with image check deposits, testing is at the sole discretion of each institution. Test files can be sent to the Federal Reserve’s pre-production (TEST) environment at any time. The files must be designated as test files with a “T” in the file header record. If savings bonds are included in the file (designated by 0000-9000-7 as the RT in the Type 25 item detail record), the files will be validated and the standard Check Services file acknowledgement will be generated.

To determine the need for testing or other necessary changes to prepare for image-based savings bond processing, we encourage you to consult with your image vendor or processor.

Top of Page

  • X
  • LinkedIn

FINANCIAL SERVICES

  • Accounting
  • Check Services
  • FedACH Services
  • FedCash Services
  • FedNow Service
  • Fedwire Funds Service
  • Fedwire Securities Service
  • Multiservice Solutions
  • National Settlement Service

CENTRAL BANK

  • Lending Central (Discount Window)
  • Reporting Central
  • Reserves Central

TREASURY SERVICES

  • Collateral Services
  • Savings Bonds for Financial Institutions
  • Savings Bonds News You Can Use
  • Treasury ACH Reclamation
  • Treasury Auctions
  • Treasury Check Reclamation

FEDLINE® SOLUTIONS

  • FedLine Advantage
  • FedLine Command
  • FedLine Developer
  • FedLine Direct
  • FedLine Web
  • FedMail

FORMS

  • Accounting Services Forms
  • Central Bank Forms
  • Check Services Forms
  • FedACH Services Forms
  • FedCash Services Forms
  • FedLine Solutions Forms
  • Fedwire Funds Service Forms
  • Fedwire Securities Service Forms
  • National Settlement Service Forms
  • Treasury Services Forms

RESOURCES

  • Central Bank Resources
  • E-Payments Routing Directory
  • FedLine Solutions Resources
  • Financial Services Resources
  • Industry Links
  • Resource Centers
  • Rules and Regulations
  • Service and Access Setup
  • Service Fees
  • Treasury Services Resources

EDUCATION

  • Federal Reserve Bank Webinars
  • Industry Events
  • Products & Services Education

NEWS

  • Communications
  • Fed360
  • Press Releases
  • Research
  • Stay Engaged: Email Newsletters

ABOUT

  • About Federal Reserve Bank Services
  • Advisory Groups
  • Federal Reserve Bank Offices
  • Financial Services Leadership Team
  • Holiday Schedules

CONTACT

SITEMAP


This site is a product of the Federal Reserve Banks.
Terms of Use | Supported Browsers | Privacy Policy
General Reserve Bank Data Privacy Notice | Reprinting Articles

Address comments and questions to the
FRBservices.org Web Master
© 2026 Federal Reserve Banks