Tender

Government Reporting & Cash Environment (Project Grace)

H M REVENUE & CUSTOMS

This public procurement record has 1 release in its history.

Tender

07 Feb 2020 at 12:15

Summary of the contracting process

The procurement process involves H M Revenue & Customs seeking to implement a Financial Transaction Reporting (FTR) solution through the project titled "Government Reporting & Cash Environment (Project Grace)." This tender falls under the "Treasury services" industry category, and is currently at the Tender stage with a deadline for submissions set for 12th June 2020. The contract period is expected to commence on 24th August 2020 and conclude on 23rd August 2025. The total value of the contract is £5,250,000, and it follows a selective procurement method using a competitive procedure with negotiation.

This tender presents significant opportunities for businesses specialising in financial software solutions and banking systems integration. Firms that can demonstrate expertise in delivering scalable and flexible financial transaction reporting systems, particularly those familiar with the requirements set forth by HM Treasury, would be well-positioned to compete. SMEs looking to grow their market presence in the public sector may find this project especially appealing, as the procurement process is open to smaller operators that meet the necessary criteria.

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Notice Title

Government Reporting & Cash Environment (Project Grace)

Notice Description

Government Banking Service (GBS) require a Financial Transaction Reporting (FTR) solution that can report intraday position data using transactional data which is used to supply HM Treasury with key financial information, allowing them to effectively deliver government cash management objectives. GBS require a solution that can capture and consolidate data for multiple entities (i.e. The Government Departments bank accounts) and return the information in a format acceptable to GBS and HMT. The solution must be banking industry standard, scalable, flexible, easy to maintain and must have the ability to debt and credit customers' accounts using various file uploads. Additionally, it must have the ability to 'zero' customer accounts, GBS currently utilises a SWIFT bureau and continues to require this method of connecting to the banks. HMRC uses SAP Ariba Sourcing Pro (thereafter referred to as HMRC's SAP Ariba) and this must be used to express an interest and/or bid for the opportunity. (Further information about HMRC's SAP Ariba is available on the HMRC website: www.hmrc.gov.uk/about/supplying.htm) Economic operators who have used HMRC's SAP Ariba previously will be registered and you should access the system to obtain your account ID number. Previously registered users having difficulty recovering their account ID number or identifying users within their organisation should email for assistance sapariba.hmrcsupport@hmrc.gsi.gov.uk. Economic operators using HMRC's SAP Ariba for the first time, will need to register at http://hmrc.supplier-eu.ariba.com/ad/register/SSOActions?type=full. (You must ensure that you are directed to the registration page for HMRC's SAP Ariba, identified with the HMRC logo, You will receive a system generated email asking you to activate your SAP Ariba supplier account by verifying your email address. When you have completed the activation process you will receive a further email confirming the 'registration process is now complete' and providing you with 'your organisation's account ID' number. If an email response from HMRC is not received within one working day of your request, please re-contact sapariba.hmrcsupport@hmrc.gsi.gov.uk (after first checking your spam in-box) notifying non-receipt and confirming when your registration request was first made. When you have obtained 'your account ID' number, please email James.power1@hmrc.gov.uk with the following information as confirmation that you wish to express an interest for the opportunity. The contract reference: MFA SR131673967 Your HMRC SAP Ariba account ID: AN Your organisation's name: Your name: Your email address: Your telephone number: Economic operators who have complied with the foregoing will receive an e-mail confirming access to the Event. If access is not provided within one working day, please contact james.power1@hmrc.gov.uk notifying non-receipt and confirming when your request for access to the online questionnaires was first made Additional information: The current application has been modified to allow the Authority to create the required outputs, however the intention is, where possible, to move to a more standardised solution. The current system produces the following- * 6 Intraday Transactional based Swing reports (utilising intraday transactional data) * 1 Next Day Swing report (utilising next day reports of Bacs debits and credits supplied by the banks plus Bacs Grade 3) * 2 Cash Management files (utilising End of Day transactional data to allow Actual v Forecast comparison) * End of Month balances of all sterling accounts (utilising end of day statements cleared balance information) * 2 Overdrawn reports (utilising end of day statements balance information) * 2 Reconciliation reports GB & Euro pools (utilising end of day statements balance information) * The creation of journal payment files specific to each electronic banking system from Bank of England files (i.e. Bacs Grade 3) * The creation of journal payment files specific to each electronic banking system from HM Treasury files (i.e. Vote Funding, HMT Interest) The key output requirements are summarised as - * The production of 6 intraday banking activity reports on an agreed schedule and one next day report for HMT using data received from supplier banks * Creation of one Cash Management Files for HMT (to enable them to compare actual movements with those forecast by the Government Departments) * Creation of journal (internal transfers) files specific to each electronic banking system from Bank of England files (i.e. Bacs Grade 3) * Creation of journal (internal transfers) files specific to each electronic banking system from HM Treasury files (i.e. Vote Funding, HMT Interest) * Ability to recreate historical reports of specific files (i.e. Cash Management Files) * Zeroing customers' and Government Banking accounts; * Reporting Monthly Balances of all GOVERNMENT BANKING Accounts for HMT using an agreed structure; * Overdraft Monitoring (Intra and End of Day); * Volumes and values of GOVERNMENT BANKING customers; * Audit reports; * Reconciliation reports (Euro and GB pool's) * Ability to create ad-hoc reports * Management Information reports Minimum Requirements for bidders wishing to provide an Initial Tender are - * The key output requirements listed above * The Functional Requirements * HMT Interest (passing of HMT Interest to Government Department accounts) * HMT Vote (passing of HMT Voted money to Government Department accounts) * Miscellaneous Transfer (internal transfers) * Intraday/Next Day 'Swing' Reports * Cash Management Daily/Monthly File * End of Month Balance Report/Reconciliation * GBS Functionality/Functional Requirements

Publication & Lifecycle

Open Contracting ID
ocds-b5fd17-94551a8a-829d-4d2d-807d-cb4f6078c5b6
Publication Source
Contracts Finder
Latest Notice
https://www.contractsfinder.service.gov.uk/Notice/6f99c01f-0c37-49c6-8485-abe316d13c39
Current Stage
Tender
All Stages
Tender

Procurement Classification

Notice Type
Tender Notice
Procurement Type
Standard
Procurement Category
Services
Procurement Method
Selective
Procurement Method Details
Competitive procedure with negotiation (above threshold)
Tender Suitability
SME
Awardee Scale
Not specified

Common Procurement Vocabulary (CPV)

CPV Divisions

66 - Financial and insurance services


CPV Codes

66600000 - Treasury services

Notice Value(s)

Tender Value
£5,250,000 £1M-£10M
Lots Value
Not specified
Awards Value
Not specified
Contracts Value
Not specified

Notice Dates

Publication Date
7 Feb 20206 years ago
Submission Deadline
12 Jun 2020Expired
Future Notice Date
Not specified
Award Date
Not specified
Contract Period
23 Aug 2020 - 23 Aug 2025 Over 5 years
Recurrence
Not specified

Notice Status

Tender Status
Active
Lots Status
Not Specified
Awards Status
Not Specified
Contracts Status
Not Specified

Contracting Authority (Buyer)

Main Buyer
H M REVENUE & CUSTOMS
Contact Name
Available with D3 Tenders Premium →
Contact Email
Available with D3 Tenders Premium →
Contact Phone
Available with D3 Tenders Premium →

Buyer Location

Locality
SALFORD
Postcode
M60 9LA
Post Town
Manchester
Country
England

Major Region (ITL 1)
TLD North West (England)
Basic Region (ITL 2)
TLD3 Greater Manchester
Small Region (ITL 3)
TLD34 Greater Manchester South West
Delivery Location
Not specified

Local Authority
Salford
Electoral Ward
Ordsall
Westminster Constituency
Salford

Open Contracting Data Standard (OCDS)

View full OCDS Record for this contracting process

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The Open Contracting Data Standard (OCDS) is a framework designed to increase transparency and access to public procurement data in the public sector. It is widely used by governments and organisations worldwide to report on procurement processes and contracts.

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