[ BEN Financials ]
106.ORG: Summary By CNAC/ORG/FUND/PROG/CREF
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Last Updated: 9/10/06
This report is designed to be a monthly summary of
department/organization level account balances. It is a tool to be
used to support the monthly review/reconciliation of revenue and
expenses for all funds except grants & contracts (i.e., 500000-5
99999) and the URF fund (i.e., 000002). Please note that this report
can not be used to report on grants/contracts or the URF
fund.
The report provides revenue & expense budget, actual,
encumbrance, and budget balance available balances. Both
period-to-date (i.e., current period) and year-to-date balances are
included. Percentages are provided to compare actuals to budget
amounts as well as actuals plus encumbrances to the budget.
The report uses a matrix format. The balances are used to create
the columns and are read from left to right. The rows represent the
object code associated with the balances. The sort order is
controlled by a combination of page breaks and report templates .
Specific information regarding page-breaks, sort order, and
templates for this report is described below.
The companion detail report to 106.ORG is 156.ORG: Detail By
CNAC/ORG/FUND/PROG/CREF.
Report Break:
The report break determines the page-break, the first level of
sort order, and the level of aggregation for the report.
Report 106.ORG breaks at the CNAC/ORG/FUND/PROG/CREF level. This
means that each unique combination of CNAC/ORG/FUND/PROG/CREF (i.e.,
a different value in one of the five segments) will create a new
page. All page-break combinations will be presented in ascending
order (i.e., lowest combination of values to the highest).
Example:
Assume reporting on all PROGrams and all CREFs for two funds
(000000, 010201) and two ORGs (0101 and 0102) within CNAC 020.
Within CNAC/ORG/FUND 020/0101/000000, PROGrams/CREF combinations
will be listed in ascending order; a page-break will occur every
time the PROGram or CREF changes. Another page-break will occur when
the FUND changes from 000000 to 010201. The PROGrams will start over
and be displayed in ascending order. The page will break again when
the ORG changes from 0101 to 0102. The CREFs, PROGrams and Funds,
respectively, will start over and be displayed in ascending
order.
| Combination |
Explanation |
| 020/0101/000000/4211/0000 |
first page revenue/expense activity
summarized for CREF 0000 for ORG 0101, FUND 000000, and PROG 4211. |
| 020/0101/000000/4211/0001 |
page break, same CNAC/ORG/FUND/PROG; new CREF |
| 020/0101/000000 /4232/0000 |
page break, same CNAC/ORG/FUND, new PROGram |
| 020/0101/ 010201/4211 |
page break, new FUND, new PROGram, same
CNAC/ORG revenue/expense activity summarized across all
CREFS for ORG 0101. FUND 010201, PROG 4211. |
| 020/0101/010201/ 4232 |
page break, same CNAC/ ORG/FUND, new PROGram
revenue/expense activity summarized across all CREFS for
ORG 0101, FUND 010201, PROG 4232 |
| 020/ 0102/ 000000/4550 |
page break, new ORG, new FUND, new
PROGram revenue/expense activity summarized across all
CREFS for ORG 0102. FUND 000000, PROG 4550.
|
Sort Order:
As mentioned above, the first level of the sort order is
determined by the page-break. In this case, the first level of
sorting is at the CNAC/ORG/FUND/PROG/CREF level. The second level
sort, how the revenue and expense object codes are ordered, is
determined by the Report Template. In addition, the template
determines the sub-totals on the report. The template used by this
report is described below.
Report Template:
This report uses templates to determine the fund groups and the
rows. Funds are aggregated into fund groups based on the Revised
Responsibility Center Management (RCM) Model. For more information
on how the fund groups are defined, see
http://www.budget.upenn.edu/dlDocs/fund_aggregations.pdf
Report templates are used to create the rows on the report. The
template determines the order of the rows (e.g., revenue followed by
expense, salaries followed by employee benefit expense), the group
of object codes to be included in each labeled row (e.g., Current
Expense includes travel & entertainment and supplies object
codes), and the level of sub-totaling.
Template 1A is used to define the rows. In this report, balances are reported
down to the object code level. For more information on the row
templates used in this report see
http://www.budget.upenn.edu/dlDocs/RCM_template_1A.pdf
Note that this report uses Template 1A. Reports 102.ORG, 103.ORG, 115.ORG, 201.SCH, and 211.SCH, which show
Grants and Contracts and URF only, use
Template 1C (or 5C). Templates 1C and 5C treat
Overhead On Sponsored Programs
(i.e., Grant & Contract Overhead
Charges) as an expenditure
rather than a contra-revenue, and this needs to be reconciled in order to go back
and forth between reports.
Parameters:
For guidelines on how to use report parameters, please refer to
section 6, Report Parameters.
Report Heading:
The report heading includes the following information:
Report Break
Indicates the chart of accounts segments used to create the
report break. In this case, CNAC/ORG/FUND/PROG/CREF is the break.
Accounting Period
Indicates the accounting period for which information is being
reported. Accounting period is specified as a parameter when the
report is requested.
Reclass Option
Indicates the conditions under which temporarily restricted
revenue is reclassified to the unrestricted net asset class for
this fund. This information is only applicable for gift and
endowed funds.
'A' (Automatic): Temporarily restricted revenue is
automatically reclassified to unrestricted when the revenue is
posted.
'M' (Manual): Temporarily restricted revenue is reclassified
to unrestricted as needed to cover expenditures in the
fund.
In either case, the reclassification process occurs once at the
end of each accounting period, just prior to the month-end close.
Format: Dr / (Cr)
Indicates how the debits and credits are displayed on the
report.
CNAC/ORG/FUND/PROG/CREF
Next to this label, the values of the CNAC/ORG/FUND/PROG/CREF
combination are displayed.
Description
The alphabetic descriptions associated with the
CNAC/ORG/FUND/PROG/CREF values are provided.
Report Columns:
From left to right, the report columns will provide the following balances:
Original Budget:
The balance in this column is the total fiscal year planning
budget. The source of the Original Budget is the Pillar file
uploaded from the Budget Office at the beginning of each fiscal
year.
Current Annual Budget:
The balance in this column is the operating budget. The amount
reported is the sum of all budget activity from the beginning of
the fiscal year up to the specified accounting period. Any changes
to the operating budget (e.g., increase/decrease) within the
accounting period being reported will also be reflected in this
balance.
Special Note: when the row being reported is "Prior Year Cash
Position (Surplus)/Deficit", the amount displayed in this column
is the prior year (surplus)/deficit actuals, not the current
fiscal year amount. For this particular row, the prior year
(surplus)/deficit actuals are repeated in the CURRENT ANNUAL
BUDGET and the FYTD ACTUALS columns.
Current Month Actuals:
The balance in this column will contain the period-to-date
actuals for the specified accounting period.
FYTD Actuals:
The balance in this column will contain fiscal-year-to-date
actuals (i.e., total activity from the beginning of the fiscal
year up to and including the specified accounting period).
Special Note: when the row being reported is "Prior Year Cash
Position (Surplus)/Deficit", the amount displayed in this column
is the prior year (surplus)/deficit actuals, not the budget
amount. For this particular row, the prior year (surplus)/deficit
actuals are repeated in the CURRENT ANNUAL BUDGET and the FYTD
ACTUALS columns.
% Act To BUD (xx% FY):
Two pieces of information are being provided:
The figure in the heading (i.e., (xx% FY)) indicates the
percentage of the fiscal year that has passed.
The data in this column is the FYTD Actuals divided by the
amount in the Current Annual Budget stated as a
percentage.
Encumbrance:
The balances in this column represent all outstanding
encumbrances up to and including the specified accounting
period.
-
% Act & ENC To Budget:
The data in this column reflects the sum of the amounts in the
FYTD Actuals column plus the Encumbrance column divided by the
amount in the Current Annual Budget column, stated as a
percentage.
Budget Balance Available:
This is a calculated column. It represents the amount of
operating budget dollars that have not been spent or encumbered.
The column is calculated as follows:
Current Annual Budget - (FYTD Actuals +
Encumbrance)
Section At The Bottom:
At the end of the 10x.ORG reports, the current year operating
(surplus)/deficit is added to the cash effect of other current year
activity not otherwise included on the report, together with the
prior year net cash position, to provide the cumulative cash position
(surplus)/deficit. On the 10x.ORG
reports, the prior year cash position is always suppressed for the following
funds: 000000, 000001, 000002 and 5xxxxx. In addition, the prior year cash
position only appears when the BC and the report break are consistent.
Therefore, for the 100.ORG report, which breaks
by CNAC/ORG/FUND, prior year information will be shown for funds that
use a BC of 1 (other than 000000 and 000001).
For the 101.ORG and 106.ORG reports, which include breaks by PROG,
no prior year information is shown because we do not have a BC based on program.
For the 102.ORG and 103.ORG reports, the prior year cash position is suppressed
because they report on the 000002 and 5xxxxx funds.
For the 104.ORG report, which breaks by CNAC/ORG/FUND/CREF, prior year
information will be shown for funds that use a BC of 2.
On 2xx.SCH reports, the prior year cash position is shown for all funds.
Therefore, the section at the bottom will not be the same for 10x and 20x
reports run for the same orgs and funds.
Last Page Of The Report:
On the last page of every report two pieces of important
information are provided: Report Parameters and Report
Break - Resolved Parameters. We recommend that you keep this
parameters page with the report to document what the report includes.
Report Parameters
The parameters used to request the report are printed on the
last page as confirmation of what was requested. If the account
combinations returned to you in the report are not what you
expected, the report parameters list is a useful first place to
start. At a minimum, you can verify the range of values you
provided at the time you submitted the request.
Report Break - Resolved Parameters
The list provided here represents the list of values within the
range you provided as Report Parameters that passed security
verification. When a report is submitted, ORGanization parameters
that were provided are compared against your BEN Financials
security profile. All ORGanizations in the range that match your
profile will be returned to you in the report.
This is a good second place to look if you did not get the
results you expected. Compare the list of ORGanizations in this
list against the parameter range you provided. If an ORGanization
is missing, chances are it does not exist in your security
profile.
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