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This overview explains what budget reconciliation is, how to do it, and what resources are available to assist.
What is budget reconciliation?
For every chart string, we can say:
- Chart string has spending authority
- Spending fits the purpose of the chart
- Available balance is string.
- Spending rate is ok.
For every transaction, we can say:
- We recognize that.
- It was the right thing to do.
- It was done correctly.
- It was complete.
- It was categorized correctly.
- It was timely.
Essential Budget Reconciliation Reports
- Financial Summary and Budget Summary reports in Cognos enable you to monitor balances.
- GL068 – chart string balances
- GL005 – chart string and account balances
- GM044 – balances per sponsored project in your department(s)
- GM045 – financial summary with balances per chart string and account
Financial activity is detailed in the GL008.
- Transactions sum to the same amounts shown on summary reports.
Using the GL008 for Reconciliation
- Use the GL008 in Cognos Connection
- In period or Year-To-Date (YTD) mode with the GL005
- In YTD mode with the GM045 to match grant Year-To-Date summary
- Use the GL008 Ad Hoc Express in Query Studio
- Over multiple years or with a custom date range to match grant Life-To-Date summary
- Access to Query Studio is by manager approval
- Export to Excel for further analysis
Northwestern IT Role in Reconciliation
Problem Solving
- Identify issue
- Research issue
- Determine resolution
- Take action
Revenue
Reconciling Revenue
- Monitor performance on the GL005
- Budget versus actual receipts to date
- Monitor transactions on the GL008
- See receipts by chart string and account
- Match GL008 to Cash Receipt Ticket (CRT)
- See incoming revenue adjustments due to:
- Miscounts, bad checks, disputed charges
Compare GL008 and CRT
- CRT 14992 on 8/25 - late fees from camping gear rental
- CRT 14992 on 8/25 -game room revenue from billiards
- Adjustments appear on account 40702.
Accounts Receivable
Accounts Receivable
- NUFinancials AR functionality is used with grants where sponsors pay in response to an invoice.
- Accounting Services for Research and Sponsored Projects (ASRSP) manages AR in NUFinancials:
- Creating customer numbers for sponsors, creating invoices, and recording payments
- Invoices and payments are listed on the Cognos GM091.
- Because this is not “revenue” it does not appear on the GL008.
- Invoices, paid and unpaid, appear in NUFin’s AR Item List.
- Payments are summarized on the GM045.
GM091 Sponsor Payments Received Report
- Invoices and payments by contract nbr (Award ID) and project
- Deposit date, invoice, check number, and amount.
NUFinancials AR Item List
Invoices and payments by contract nbr (Award ID)
GM045: Total Payments Applied
- In general, payments build to the award
Salary & Payroll Suspense
Payroll Reconciliation
- Monitor balances on the GL005
- Monitor changes in salary funding sources:
- Chart string status (inactive, closed)
- Project start and end dates (gaps)
- Non-existent chart strings (yet to be setup)
- Allocation percentages (don’t add up to 100%)
Payroll Suspense
- All employee compensation is funded by one or more chart strings (called funding sources).
- When funding sources do not equal 100% of salary, the balance is charged to the parent department chart string:
- Usually Fund 110, Financial Dept ID, ChartField1–SUSP
- Could be another chart string named on grant project
From MyHR to NUFinancials
- After each payroll run, MyHR sends a journal to NUFinancials to post in the General Ledger
- Journal is scanned for errors and corrected by Accounting Services and HR as necessary
- After error corrections, payroll data appears in NUFinancials inquiries
- The next day, payroll data appears in Cognos reports
- Users with "Salary Access" can drill to employee detail
Finding Suspense Issues
- VISTA Report – NWPAY067
- See suspense amounts before the payroll run
- GL008 – Revenue and Expense Activity Report
- See amounts after they are charged to SUSP
- NUFinancials – General Ledger Inquiry
- Lookup amounts after they are charged to SUSP
SUSP on the GL008
NUFinancials Ledger Inquiry
- Suspense transactions are also visible in NUFinancials
Resolving Suspense Issues
- Use the Employee Paycheck Inquiry
- Get the information you need for steps 2&3.
- Issue one Payroll Journal per employee
- Remove amounts from suspense
- Journal appears with the offsetting (negative) amount in NUFinancials and Cognos BI
- Complete a Funding Source Adjustment
- Ensure salary is covered by an active chart string
Tuition Encumbrances & Expenses
Tuition Commitments
- Many students receive a commitment from the University to pay all or a portion of tuition.
- Commitments may come from:
- Deans or Chairs at the Department or School level
- Professors in non-sponsored projects
- Principle Investigators in sponsored projects
- Typically, tuition expenses are budgeted
Tuition Reconciliation
- Monitor balances on the GL005/GM045
- Per chart string and account 78020/78021
- Budget, encumbrances, paid tuition expenses
- See detail on the GL008
- Per chart string and account 78020/78021
- Student names
- Award amount
- Expected disbursement dates
Tuition Award Process
- NU makes a commitment to a student.
- Enter tuition award in Student Enterprise System (SES).
- SES sends nightly journal to NUFinancials
- See tuition encumbrances and disbursement data in NUFinancials and Cognos BI reports.
- Encumbrances are visible:
- next business day in NUFinancials
- subsequent business day in Cognos
Tuition Encumbrances on the GL008
Encumbrance listed as “Various Transactions”.
Drill to Tuition Detail on the GL008
- Per student:
- Amount in Fall, Winter, Spring, or Summer columns
- Expected Disbursement Date
- Total Encumbrance
Tuition Tracking over Time
- If tuition is paid
- Encumbrance is relieved (reduced to zero)
- Payment amount moves to expense column
- If tuition is unpaid
Requisitions and Purchase Orders
Research Issues…
- Cognos (all activity)
- SC016 – Open Encumbrance Report
- SC027 – Match Exceptions Report
- NUFinancials (one at a time)
- Manage Requisitions
- Voucher Inquiry > Payment Inquiry
- Lifecycle Viewer
SC016 – Open Encumbrance Report
SC027 – Match Exception Report
Match Process
Tolerance
- Applied to differences between PO and Voucher
- Each line is checked for differences:
- Quantity x Unit Price = Amount
- Tolerance is 25% or $100, whichever is less
- Both Unit Price and Amount are checked
- Difference under threshold? Payment is
- Difference over threshold? No
Differences over threshold are called a Match Exception.
What can prevent completion of a purchase?
- Requisition not fully approved (purged > 90 days)
- Voucher has Match Exception
- The order was not received (non-catalog)
- Receipts required for non-catalog orders over $500
- A difference in quantity between voucher and receipt
- A difference in price between voucher/PO exceeds tolerance
- Purchase Order may contain a human error
- Invoice may contain a human error
- Voucher may contain a human error
Reading Match Exceptions
- When a voucher has a Match Exception:
- Explanatory messages are sent to you via email
- Explanations appear in system reports and inquiries:
- Cognos BI SC027 Match Exception Report
- NUFinancials Voucher Inquiry
NU makes no partial payments, so any line with a Match Exception prevents payment of the entire voucher.
Resolving Match Exceptions
- Potential Solutions
- Purchase Order Change Request
- Update any field (for example, unit price and/or quantity)
- Cancel lines or cancel the entire purchase order
- Update Receipt
- Request a revised invoice from vendor
Expense Reports and Online Vouchers
Other Accounts Payable
- Payments to employees (non-payroll)
- Expense Reimbursements
- Cash Advances/Travel Authorizations
- Payments to non-employees
- Direct Payment Requests
- Visitor Expense Reports
- Contracted Services for U.S. Residents
Research Issues…
- Cognos (all activity)
- SC026 Expense Reports
- SC028 Voucher Activity
- Use each report alongside the GL008
- NUFinancials (one at a time)
- Inquiries are available, but the reports above are more effective.
Online Vouchers and Expense Reports on the GL008
- The encumbrance column (Pre-Enc/Enc)
- Does not apply to Online Vouchers & Expense Reports
- Applies only to requisitions and purchase orders
- The Transactions column
- Amount appears when transaction enters workflow
- Amount disappears if Sent Back or Denied
- Expense is settled (paid) when you also see:
- GL Post Date on the GL008
- Payment ID and Payment Date on the SC028
SC026 – Expense Reports
- Monitor expense reports in Cognos.
SC028 – Voucher Activity
- Monitor online vouchers in aggregate.
Internal Changes
- Recharge centers (and some departments) with a high volume of internal sales use a Journal Spreadsheet to charge for goods and services
- Charges appear on your budget statements without a review and approval via workflow
- If you do not recognize a charge, you may dispute the charge by contacting the person directly.
Journal Spreadsheet
Internal Charges on the GL008
Knowing the transaction description is key.
GL008 Column
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Journal Indicator
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Transaction Type
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Journal
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Transaction ID
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Journal Mask
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Description
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Journal Source
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Accounting on the NU Portal (Actuals Journals)
Actuals Journals
Journal Resources
- Financial Operations Listserv
- Financial Operations website
- Monthly Closing Calendar
- MyHR/KB training articles
For additional assistance please contact the IT Support Center at 847-491-4357 (1-HELP) or email servicedesk@northwestern.edu.