NOTE: Policy FN16 Interdepartmental Transactions and Procedure FN2069 Direct Billing are currently under review. This decision tool was developed as a temporary document to provide business process information to end-users while the policy and procedure are being reviewed.
This Business Resource is intended for SIMBA end-users who need information on the budget transfer process and the transactions needed to transfer funding from either central or between other business areas.
This process allows for a P&L view of Sources less Uses, from both an Actual and Budget perspective. The transactions needed to transfer recurring and non-recurring funding from either central or between business areas. This document does not address the SAP Budget and Planning (SBP) Allocations because those allocations are already set up in a manner that is consistent with the below process. This process should be used throughout the Fiscal Year in Funds Management.
NOTE: beginning in FY24, controls have been added in SIMBA that will allow certain General Ledger (GL) accounts to only be used alongside other accounts from a predetermined set in any given journal entry/transaction. The GL accounts listed in the sections below are all such accounts. For a full listing of the GL sets and the specific accounts in each set, reference the General Ledger Validation sets - Internal Accounting Activity knowledge base article.
Three entries will be needed
The sending or receiving Business Area will initiate a Journal Entry to transfer source funding to the receiving Business Area as an actual.
NOTES: If Central/Provost Support, the sending Business Area will initiate the Journal Entry
- Provost Central Support General Ledger (GL) Account 47003570, Other Support GL Account 47003500, or Other 470035xxxx GL Accounts (see Procurement Search Tool for complete listing of GLs)
- Upload supporting approval documentation to the journal entry. The approval should provide detail information on how the source of funds is to be expensed. See the SIMBA: Attach a Document to a Budget Posting for complete instructions.
- If providing non-recurring funding the following GL Accounts must be used:
- Sending Business Area - expense GL (55xxxxxx) (see the Procurement Search Tool for complete listing)
- Receiving Business Area - revenue GL (470035xx) (see the Procurement Search Tool for complete listing)
- If providing recurring funding the revenue GL (470035xx) will need to be used for both sending and receiving Business Areas see the Procurement Search Tool for complete listing)
EXAMPLE
Document Type: | Debit/Credit: | Amount: | GL Account: | Cost Center | Line Item Text |
---|---|---|---|---|---|
ZA or SA | D (Debit) | 550000 | 55402070 | 7880510000 | Source non-recurring of funding to ENGR - Start-up package for.(upload detail document) |
ZA or SA | D (Debit) | 161000 | 47003570 | 7880510000 | Source recurring funding for salary and fringe |
ZA or SA | C (Credit) | 711000 | 47003570 | 3861700400 | Source of funding to ENGR - Start-up package for...(upload detail document) |
RESULTS:
Non-Recurring - The Receiving Business Area receives a credit to revenue for Provost Central Support funding and the Sending Business shows a debit to expense as Interdepartmental Transfer, via Journal Entry
Recurring - The Receiving Business Area receives a credit to revenue for Provost Central Support funding and the Sending Business Area will show a debit to revenue for Provost Central Support, via Journal Entry.
NON-RECURRING:
If the Budget was not entered during the Budget Planning Process - the sending or receiving Business Area will initiate a non-recurring Budget Adjustment (via the Budget Workbench or FM Budget Upload tool) to provide non-recurring funding between Business Areas.
EXAMPLE
Process: | Document Type: | Budget Type: | Commitment Item: | Funds Center* | Funded Program* | Sign +/- | Amount | Line Item Text |
---|---|---|---|---|---|---|---|---|
Enter | CENT | NONR | 55402070 | 7880510000 | - - | - - | 550000 | Provost Central Support for Start-up package for Dr. Who |
- - | - - | NONR | 47003570 | 3861700400 | - - | - - | 550000 | Provost Central Support for Start-up package for Dr. Who |
* - NOTE: Budget can be in a Funds Center or Funded Program. Whichever is used, the other field will be blank.
RESULTS FROM NON-RECURRING BUDGET ADJUSTMENT:
The Receiving Business Area receives the Budgeted Provost Central Support as a revenue (source funding) and the Sending Business Area shows the budgeted Interdepartmental Transfer as an expense (use funding), via Budget Adjustment. This allows the budgeted income and actual income to be comparable.
RECURRING:
The sending or receiving Business will initiate a recurring source Budget Adjustment (via the Budget Workbench for FM Budget Upload tool) to provide recurring source funding between Business Areas.
EXAMPLE
Process: | Document Type: | Budget Type: | Commitment Item: | Funds Center* | Funded Program* | Sign +/- | Amount | Line Item Text |
---|---|---|---|---|---|---|---|---|
Transfer | CENT | RECR | 47003570 | 7880510000 | - - | - | 161000 | Provost Central Support for Salary and Fringe |
- - | - - | RECR | 47003570 | 3861700400 | - - | + | 161000 | Provost Central Support for Salary and Fringe |
* - NOTE: Budget can be in a Funds Center or Funded Program. Whichever is used, the other field will be blank.
RESULTS FROM RECURRING BUDGET ADJUSTMENT:
The Receiving Business Area receives the Budgeted Provost Central Support revenue (source funding) and the Sending Business Area will show a Budgeted decrease to Provost Central Support revenue (source funding), via Budget Adjustment. This will decrease the sending Business Area's recurring source funding, the Receiving Business Area now has the recurring budget.
If Uses (Planned Expense) was not budgeted in SAP Budget and Planning (SBP), the receiving Business Area will need to budget the offsetting Uses (Planned Expense). This will be a one-sided Budget Expense Adjustment.
NOTE: This is the entry for Budgeted Expense that gives the receiving unit spending authority when Availability Control (AVC) is turned on.
EXAMPLE
Process: | Document Type: | Budget Type: | Commitment Item: | Funds Center* | Funded Program* | Sign +/- | Amount | Line Item Text |
---|---|---|---|---|---|---|---|---|
Enter | BDGT | RECR | 51104100 | 386DDxxxxxx | - - | - - | 120000 | Faculty Salary budget |
- - | - - | RECR | 51404560 | 386DDxxxxxx | - - | - - | 41000 | Faculty Fringe budget |
- - | - - | NONR | 52xxxxxx | - - | 12xxxxxxxxxx | - - | 550000 | Start-up package non-personnel budget |
RESULTS:
Non-Recurring and Recurring - The Receiving Business Area will need to initiate a one-side budget adjustment to budget the Offsetting Planned Expense, if the expense was not already planned in SBP. This allows the budgeted expense to be created for AVC spending. As actuals come in, the budgeted expense and actual expense will be comparable.
The GL Accounts/Commitment Items below will be used for informational/reporting purposes only. These GL Accounts will be excluded from the Financial Statements to avoid duplication of inter company transactions. The actual revenue will remain in the Business Area where the revenue will be report (i.e., General Funds tuition, fees, and state appropriation will remain in the Controller - University Wide Business Area).
General Ledger/Commitment Item: | Name: |
---|---|
47003500 | Support to/from Other Units |
47003510 | Subsidy from Associated Department |
47003530 | Central Budget Allocation (Budget Office use only) |
47003531 | Central Student Fee Allocation |
47003570 | Provost Central Support |
47003571 | Subvention Allocation |
47003580 | Support - Summer Session |
47003590 | Support- World Campus |
55401000 | Revenue Sharing |
55402000 | Support to Other Units |
55402020 | Support From Student Fee |
55402070 | Provost Support |
55402080 | Support from Subvention |
Please refer to the Budget Upload Allocations Excel file and the Journal Entry Upload Allocations Excel file for examples.
If sale from an Internal Service Center (114xxxxxxx, 115xxxxxxx, or 116xxxxxxx) Funds
If moving actual charge, use the same GL account from the original posting.
If supporting a deficit in a Service Center from General Funs or moving fund
If a unit is charging another unit
For questions, additional information, or to request changes to this document, please contact either the Budget Office or Financial Reporting.