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The Office of Planning and Budget and The State Accounting Office Presents Balancing BudgetNet to PeopleSoft (Reconciliation) 2008/09 FY
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I.Opening/Introductions Session Facilitators Why Are You Here? Tools Needed For Reconciliation Key Concepts for Basic Understanding II.Taking the Plunge for the 3-Point Reconciliations New Policy/Procedure Flow Diagram Tools Needed For Reconciliation Hands-On Session – Interactive III.Summary and Wrap Up IV.Questions Agenda
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Why Are You Here? Financial Management Process and Procedures Project recognized need to develop training at the appropriate levels 2007 Audit Report Findings New policy/procedure on Reconciliation of BudgetNet to PeopleSoft To understand what is required of the agencies in order to be in compliance with procedures relative to program budgeting
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Dive Deep into PeopleSoft Budgets
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Tools Needed To Begin User must: Understand how the Appropriations Bill translates in PeopleSoft Understand the underlining concepts of trees and their structures Understand the various PeopleSoft Ledgers (ORG, DeptSum, Class, Revest, Allot, Program) Understand how Trees and Ledgers work together
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Key Concepts for Basic Understanding Appropriations Bill Understand Trees and their Structures Ledgers Knowing the Health of Your System within the Program Budget Structures Understand Your Agency’s Business Processes
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Appropriation Bill High Level Project Focus Revenue Recognition Expenditure Control Reconciliations Reporting
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Appropriations Bill Translated in PeopleSoft HB 990 (FY09) Program – Maps to KK_Program Tree Fund Sources – Maps to BCM_FUND_SRC tree Even though Agency and Other Funds are shown separately in the Bill, they are mapped to Other (OTH2) at the FS_TYPE level
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Budgetary Compliance - Fund Sources in PeopleSoft For Federal Funds (FS_CAT = FED1) –There are 16 detail items in the bill (FS_TYPE) For Other Funds (FS_CAT = OTH1) –There are 10 detail items in the bill (FS_TYPE)
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Trees are key! Know your trees and tree levels BudgetNet and SAO Peoplesoft Financial Integration - Trees
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Tree Chart Fund SourceAgencyAgency/SAOAgency TreeOwnerMaintainsDefinitions AccountSAO Statewide FundSAO Statewide DepartmentAgencyAgency/SAOAgency ProgramOPBSAO/OPBStatewide ProjectAgencyAgency/SAOAgency Fund SourceAgencyAgency/SAOAgency BudgetNet and SAO Peoplesoft Financial Integration - Trees ProgramOPBSAO/OPBStatewide
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BudgetNet and SAO Peoplesoft Financial Integration - Trees Two trees are critical for BudgetNet to PeopleSoft reconciliations: –Program Tree –Fund Source Trees
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Appropriations Bill Translated in PeopleSoft HB 990 (FY09) Program – Maps to KK_Program Tree Fund Sources – Maps to BCM_FUND_SRC tree Even though Agency and Other Funds are shown separately in the Bill, they are mapped to Other (OTH2) at the FS_TYPE level
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Understanding PeopleSoft Ledgers
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CLASS Ledger ORG Ledger DEPTSUM Ledger REVEST Ledger ALLOTMENT Ledger PROGRAM Ledger BudgetNet PeopleSoft Application Ledgers AOB/ Amendments ALLOTMENT Agency
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ORG Ledger- Purpose Tracks expenses against budget at the department (ORG) level How it Works ChartfieldHow Populated Budgetary Control Account Fund Code Department Program Class Project Funding Source Budget Load (BUDJRNLX Process) Encumbrance, Expense Transactions Track w/Budget PeopleSoft Ledgers
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DEPTSUM Ledger- Purpose Tracks or Controls expenses against budget at the department summary level by Class How it Works ChartfieldHow Populated Budgetary Control Fund Code Department Program Class Budget Load (BUDJRNLX Process) Encumbrance, Expense Transactions Track or control at Agency/Business Unit discretion All are set as Control PeopleSoft Ledgers
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CLASS Ledger- Purpose Tracks or Controls expenses against budget at the Program level by Class How it Works ChartfieldHow Populated Budgetary Control Fund Code Program Class Budget Load (BUDJRNLX Process) Encumbrance, Expense Transactions Track or control at Agency/Business Unit discretion All are set as Track w/Budget PeopleSoft Ledgers
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REVEST Ledger- Purpose Tracks revenue against budget at the department level How it Works ChartfieldHow Populated Budgetary Control Account Fund Code Department Program Project Funding Source Budget Load (BUDJRNLX Process) Budget Check Revenue Transactions Track w/Budget PeopleSoft Ledgers
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CLASS Ledger ORG Ledger DEPTSUM Ledger REVEST Ledger ALLOTMENT Ledger PROGRAM Ledger BudgetNet PeopleSoft Application Ledgers AOB/ Amendments ALLOTMENT Approval of AOB/Amendment triggers update to Program Ledger Agency
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PROGRAM Ledger- Purpose Tracks expenses against Program/Funding Source as identified in the Appropriations Act. BudgetNet interface into PeopleSoft is performed nightly Compliance with Program budgeting New Program Chartfield and Program ledger eliminate need for agencies to account for Program data in other Chartfields PeopleSoft reporting now possible at Program level OPB approved AOBs and amendments are in PeopleSoft How it Works ChartfieldHow Populated Budgetary Control Program Fund Source (FS_TYPE) BudgetNet Encumbrance, Expense Transactions Track w/Budget PeopleSoft Ledgers
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CLASS Ledger ORG Ledger DEPTSUM Ledger REVEST Ledger ALLOTMENT Ledger PROGRAM Ledger BudgetNet PeopleSoft Application Ledgers AOB/ Amendments ALLOTMENT Agency Warrant approval triggers update to Allotment Ledger
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ALLOTMENT Ledger- Purpose Tracks expenses against Program/Funding Source as requested through the Allotment process in BudgetNet. BudgetNet interface into PeopleSoft is performed nightly. Allotment is the allocation of a portion of budget spending authority How it Works ChartfieldHow Populated Budgetary Control Program Fund Source (FS_CAT) BudgetNet Encumbrance, Expense Transactions Track Federal and Other Funds Track State Funds Control State Funds as Agencies roll onto Streamlined Banking PeopleSoft Ledgers
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Maintaining the Health of the Commitment Control Module
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Partial Posting of Amendments
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Whenever a partial post situations occurs, ALWAYS email finacctg@sao.ga.govfinacctg@sao.ga.gov SAO will post the remainder for you. DO NOT attempt to make any changes on any of the Journals. After we post it for you, corrections can be made by creating a new amendment with reversing entries. After Posting Budget Journals, always ensure every Budget Journal posted Partial post situations cause Managerial ledgers to be Out of balance
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Control Budget Balances Report
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Use Control Budget Balances report to identify any ledgers that are out of balance Navigate: Main Menu > Commitment Control > Control Budget Balances
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Use Control Budget Balances report to identify any ledgers that are out of balance Input: Business Unit= 46200 Budget Year = 2007 Click Run
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Click Ok in the Process Scheduler Request Page Use Control Budget Balances report to identify any ledgers that are out of balance
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Click on the Process Monitor link Use Control Budget Balances report to identify any ledgers that are out of balance
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If Run Status = Success Click Details link
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Use Control Budget Balances report to identify any ledgers that are out of balance Click on the View Log/Trace link
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Use Control Budget Balances report to identify any ledgers that are out of balance Click on the Trace File link to access the report
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The Deptsum Ledger is not in balance with Org, Revest and Class Ledgers. Program Ledger, derived from BudgetNet, is not in balance either. (The Appropriation Ledger is no longer used, and the Allotment Ledger is always a portion of the budget until year end. Contact SAO. Deptsum Ledger not in balance with Org, Revest and Class Ledgers Program Ledger not in balance
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NAMING CONVENTIONS ARE CRITICAL FOR AOB, AMENDMENTS, AND INTERNAL REVISIONS
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Purposes Of the Naming Convention If you do not follow the naming conventions, many of your budget reports will be incorrect –The Program Budget Comparison Summary and the Budget Comparison Report group by this naming convention, and populate the AOB column versus the Adjusted AOB column. –The Amendment Impact report also uses this naming convention to populate each of its columns. If this report is utilized it can help agency reconcile their managerial / operational ledgers to BudgetNet.
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Naming Convention for the Amend ID Field Each Annual Operating Budget (AOB), Amendment, and Internal Revision will be tracked in the PeopleSoft System using the Amend ID field. Agencies must create a unique Amend ID code for each type and occurrence. Description of Convention Naming Convention ExampleComment/Notes AOB AOByyyyx AOB2009 ‘yyyy' is the full year and 'x' is the letter if needed AOB2009A AOB2009B Amendment Ayyxxx A09001 yy' is the Year and 'xxx' is the amendment number and letter if needed A09002 A09003 Internal Revision IRyyxxx IR090001 ‘yy’ is the Year and ‘xxx’ is the revision number, followed by a letter if needed IR090002
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Plunge Right In – The Waters are N-I-C-E
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Three- Point Reconciliations Policy and Procedures and Flow Diagram
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Policy/Procedures for Balancing BudgetNet to PeopleSoft 3 Point Reconciliation must be performed at least quarterly Suggested the reconciliations be performed after every budget event
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Reconciliation Procedures –Understanding the Overall Business Process Flow of Transactions from both BudgetNet and PeopleSoft is important –The touch points on the business process flows are important to ensure where reconciliations need to be performed
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3 Point Reconciliation BudgetNet and PeopleSoft Process Flow Diagram
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Tools Needed For Reconciliations User must: be familiar with Excel have access to BudgetNet and PeopleSoft applications to run queries and reports, etc.
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1. BudgetNet AOB/Amendments to PeopleSoft Program Ledger 2. BudgetNet Allotments to PeopleSoft Allotment Ledger 3. PeopleSoft Financial Revest Ledger to PeopleSoft Program Ledger PeopleSoft Reconciliations
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1 st Point Reconciliations – BudgetNet AOB/Amendments to PeopleSoft Program Ledger Run Reconciliation Reports - PeopleSoftBudgetNet OBD10 Query using Program Ledger or Program Budget Comparison Summary Report Report 317 - AOB Amendment All Funds* Report 316 - AOB Amendments Federal and Other* * Both reports show approved amendments only Variance : Variances should only consist of amendments approved in BudgetNet during the day, that have not yet gone through the nightly interface process into PeopleSoft.
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2 nd Point Reconciliation – BudgetNet Allotments to PeopleSoft Allotment Ledger Run Reconciliation Reports PeopleSoftBudgetNet OBD10 Query using Allotment Ledger Report 301 - Budget Allocation of Funds Confirmation Report for the last allotment with the status of “Final” This report shows approved warrants only Variance : Variances should only consist of allotments with warrants approved in BudgetNet during the day, that have not yet gone through the nightly interface process into PeopleSoft.
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3 rd Point Reconciliation – PeopleSoft Financial Org Budgets to PeopleSoft Program Ledger Budgets Run Reconciliation Reports PeopleSoft Revest Ledger to Program Ledger Balancing Report (New- BDXXX0410 where ‘XXX’ is the Business Unit) This report displays PROGRAM_BD Ledger data along with REVEST_BD Ledger data, which is summarized to the same level as the Program Ledger. The last column calculates the variance between the two. Variance : Any variances may require running detail reports in both BudgetNet and PeopleSoft to identify potential adjusting entries.
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Questions
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