Calendar Year-End Closing Procedures. Calendar Year End Closing Review USAS 2.

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Presentation transcript:

Calendar Year-End Closing Procedures

Calendar Year End Closing Review USAS 2

VENSSN – Verify 1099 Data Check Data for 1099 Vendors VENSSN Option 4 or 6 Review carefully! 3

VENSSN - Verify 1099 Vendors Check that all vendors that should be are flagged VENSSN Option 5 Review list for any vendors that should get

5

Vendor Names  If the vendor uses a different name for 1099 reporting, the district may enter the 1099 reportable name on the “2 nd Name” field.  Enter the digits 1099: followed by the IRS-1099 name.  The F1099 program will strip off the “1099:” and use the name following it as the primary name on the 1099 reporting form and submission file 6

7 To display the individual’s name on the 1099 but keep the business name as the first name on the PO, you can enter 1099:individual’s name on the 2 nd name field of the vendor record will display: KARA JONES 123 MAIN STREET SAMPLEVILLE, OH

Month-End Closing Proceed with closing out for the month of December as normal Enter all transactions for the current month Perform Bank Reconciliation procedures from the USAS User Guide “USAS Useful Procedures” chapter Examine recommended reports to ensure you are in balance USAEMSEDT – Cash Reconciliation – Option 1 PODETL BALCHK MTD, FTD, YTD expended amounts are identical MTD, FTD, YTD received amounts are identical Outstanding encumbered amount agrees with outstanding PODETL encumbered amount. If they don’t, run FIXENC. Run FINSUMM selecting “Y” to generate FINDET at the same time. The current fund balances should be identical on each report. Run SM2CALC option (if tracking SM12 figures). Print off and check the resulting report. 8

Month-End Closing Run MONTHLYCD/Generate December’s reports Minimum month-end reports recommended: BUDSUM, APPSUM, REVSUM DETAILED PODETL – ALL FUNDS FINDET & FINSUMM RECLED DETAILED CHEKPY CASH RECONCILIATION FROM OPTION 1 OF USAEMSEDT Generate any additional Calendar Year-End reports desired 9

VENHIRE/VHRESET Run VENHIRE/VHRESET Resets all vendors flagged as “Reported” to “Reportable” Vendor will be reported again the next year if they are paid at least $2,

Month-End ADJUST Run ADJUST and select “month-end” You must NOT be running any other programs during this process. 11

Calendar Year-End Closing Run the program F1099 which creates 1099s for the current calendar year

Calendar Year-End Closing Upon completion, the F1099 generates the following: F1099.TXT – report of 1099 vendors sorted by miscellaneous income type F1099.DAT – file containing the 1099 data that is to be used with laser-generated forms F1099.FRM – file containing vendor 1099 information to be printed on blank pin-fed 1099 forms F1099.TAP – tape file containing the vendor 1099 information to be sent to the IRS Print and check F1099.TXT report carefully Notify ITC that forms are ready to be printed and data submitted to IRS 13

Calendar Year-End Closing Run ADJUST again from your NORMAL account Select “Year-End” and run for “Calendar” You must NOT be running any other programs from your normal account during this process May begin processing for January 14

Questions? 15