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May 2009 Year-End Planning and Checklist
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AGENDA Reminder for Close Preparation and Planning Year-End Checklist and Timeline 2 May 2009
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Reminders for Close Close General Fund without accruals or current year Budget Balance Available (BBA) Entries for unpaid Claims Do not accrue: Payroll CSURMA 09/10 Campus Premiums State University Grant (SUG) Prepare for designated Fund Balance entries for Fund 0948.485 and 0948.441, 442 & 443 Please be sure that the designations include the entire post-close equity for the fund. 3 Preparation and Planning
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Monthly recons – Keep ‘em current and resolve factors Preparation begins in January and February Consider changes on YOUR campus - (PS Student Finance, GL issues, PS AR/BI, Asset Mgt) Look at last year, how did you do? 4 Preparation and Planning
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Key Deadlines Work backwards from these dates when planning June 15 - SCO Cut-off for Claims\PFA’s\Transfer Requests July 15 – FIRMS Submission COMPLETED (24 hour review backs this up to July 14) All SCO required reports per legal manual 5 Preparation and Planning
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April/May Load SAM99 Accrual Reversal Tape SAM99 should be run with Accrual Reversal checkbox marked from this point forward Analyze data dependencies for month and year-end entries Meet with departments or contact third-party providers to determine dates information will be ready or potential cut- off of activity to meet deadlines 6 Year-End Checklist
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May Collect data and analyze capital leases, capital projects & other potential complex transactions Develop strategy for booking to ledger Chancellor’s Office will pull back in reverting General Fund (in 2009, pull back 2005) Review reverting funds Clear any remaining assets and liabilities CY revenues and expenses will close to fund balance clearing 7 Year-End Checklist
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May Review closing rules and trees Update for reverting/reverted funds Use PS queries based on reversion date and compare to campus trees Confirm all of 0948 funds close to 305002, pay special attention to FNAT flip funds. Ensure budget and actuals equal (BBA=0) in the following CSU Operating Fund (CSU Fund 485) accounts: 506100 – SWAT Transfers In 680100 – SWAT Transfer Out 690003 – General Fund Transfer In 8 Year-End Checklist
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May Review revenue in CSU Operating Fund Make sure appropriate revenues are recorded Augmented Health to CSU fund 485 Miscellaneous Financial Aid – Restricted to CSU Fund 431 Miscellaneous Financial Aid – Unrestricted to CSU Fund 435 Campus internal service providers to 543: TF Campus Services - Internal Services Campus external service providers to 544: TF Campus Services - Enterprise Budget and Accounting develop a plan for year- end reserve entries Create campus accounts as needed for reserves 9 Year-End Checklist
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Early June Close and reconcile May data Notify Auxiliaries of Year-End Deadlines FIRMS 7/31/09 GAAP 9/30/09 IPEDS 10/30/09 Request Contingent Liabilities list June 15th SCO MUST have final 2008/09 Claims/PFA/Transfer Requests in Hand for guaranteed processing 10 Year-End Checklist
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Mid-June Upon notification from the CO, submit test SAM99 Files to the SCO until the SCO personnel indicate a “clean” submission. Campus Allocation of 4Q SWIFT Investment Earnings Remember 4Q is March, April and May June interest will be distributed late July to be accrued in GAAP 11 Year-End Checklist
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No later than June 22nd Review and Adjust A/R Reserves –Remember to use contra-revenue allowance/bad debt accounts Clear all known SAM99 reconciliation issues Clear all known FIRMS error messages Remember warning messages usually turn to errors in the 4th quarter 12 Year-End Checklist
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No later than June 30th Record all chargebacks All requisitions must be sourced to a Purchase Order or cancelled Final Student System feeds to A/P completed, prep for final fiscal year check run 13 Year-End Checklist
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No later than June 30th Post/Reconcile Payroll Post Final ProCard statement Receiving Completed Close Purchasing Final recording of Cash Receipts Close Cash Receipts Final Check Run/Claims Close Accounts Payable 14 Year-End Checklist
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July Week 1 CO Data will be communicated to campuses via AD NOAT no later than July 7 Non-Delegated CWIP / Additions to Fixed Assets (IT Infrastructure) Fund Balance Clearing (FBC) 4 th Quarter CSURMA Deductible Recovery Interagency AR/AP (including CSURMA IDL/NDI/UI accruals) Run and Post GL 15 process Manually liquidate Reimbursed Activities remaining Encumbrance Balance Complete Manual Obligations Fixed Assets and Retention Entries Complete 15 Year-End Checklist
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July, Week 1, Continued Final Reimbursed Activities Billing Completed/Confirm RA in Balance by CSU Fund Reconciliation of all subsystems to ledger complete: ARBI, Student, etc. Complete routine month-end journal entries Load WFB Bank Statement and begin reconciliation Cleared Checks/Paid SCO Claims (CD102)/SAM99 Files 16 Year-End Checklist
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July, Week 1, Continued Bank reconciliation completed Bank of CSU Statement distributed no later than July 7 th Resolve Negative Cash Balances SAM99 Reconciliation Completed – All SAM99 Reconciling Items Cleared Reclassify FBC for claims filed to Due To Trust for DVP SCP goes to claims filed If needed, accrue FBC entries created by LCD 17 Year-End Checklist
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July, Week 2 All entries now under the supervision of Campus Budget Office Ensure budget and actuals equal (BBA=0) in the following CSU Operating Fund (CSU Fund 485) accounts: 506100 – SWAT Transfers In 680100 – SWAT Transfer Out 690003 – General Fund Transfer In Review Revenue in CSU Operating Fund Make sure appropriate revenues are recorded 18 Year-End Checklist
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July, Week 2 Review General Fund (SCO fund 0001) Clear any remaining FIRMS errors Final review of program/ledger balances Clear any remaining deficits Book Reserve entries to CSU Fund 485 304015 Reserve for Operations 304016 Reserve for Campus Dept / Obligations 304018 Reserve for Encumbrances Use campus accounts as needed, mapped to above FIRMS Object codes to accommodate campus plans for contingency, roll forward and reserves 19 Year-End Checklist
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July, Week 2 Close xxCMP Business Unit to prevent further entries Generate Final SAM99 File Final FIRMS derivation Close xxCSU Business Unit to prevent further entries Prepare Manual Reporting Package for Management Review 20 Year-End Checklist
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July 14 and 15 July 14 - Management Review/Approval July 14 – Latest date for FIRMS submission to CO’s SFR group for 24 hour review July 15 – FIRMS Submission completed, pre and post close Transmit Final SAM99 file to SCO 21 Year-End Checklist
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July and August Run PO Rollover in xxCMP and xxCSU Submit all required SCO reports per instructions in year- end legal manual –The SCO requires a separate certification letter for each state fund submitted through SAM99 or in hard copy. Submit all CO required reports Additional reporting dates in September and October for GAAP and IPEDs. Reference http://www.calstate.edu/sfsr/http://www.calstate.edu/sfsr/ 22 Year-End Checklist
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