Departmental Accounting User Manual Version 2.2 March 2014 FAMIS Services The Texas A&M University System . 2014 The Texas A&M University System – All Rights Reserved Introduction The purpose of this manual is to assist in accessing and utilizing information in the Departmental Accounting section of Financial Accounting Management Information System (FAMIS). FAMIS is an accounting system that responds to financial regulations applicable to educational institutions. All applications access a common database that allows different users to access identical information. Other applications include Financial Accounting, Accounts Payable, Fixed Assets, Purchasing, and Sponsored Research. Manuals for these applications are either currently available or in the process of being developed. For your convenience, all associated screens and processing information are included in this manual, along with field descriptions. The required fields are designated by a diamond symbol (.). Data entry information (Help) can be accessed on some screen fields with the use of the PF2 key or by typing an asterisk (*) or question mark (?) in the field. By utilizing the information and guidelines contained in this manual, a user should be able to access Departmental Accounting information as well as create and modify invoices and customers. The FAMIS User Manuals are in a constant state of revision due to screen updates, changes in procedures, and a multitude of other reasons. If you would like to make suggestions or call attention to errors, please contact us at (979) 458-6464, or copy the page with the error, note the correction or suggestion, and send it to one of the following addresses: College Station based: FAMIS Services The Texas A&M University System 1144 TAMU College Station, TX 77843-1144 Non-College Station based: FAMIS Services The Texas A&M University System 301 Tarrow Street College Station, TX 77840-7896 Table of Contents I Introduction PAGE M05, M06 Departmental Inquiry and Maintenance Menus ............................ I-7 II Support Account Maintenance Basic Concepts ................................................................................ II-3 What are Support Accounts? ................................................... II-3 Valid Accounts ................................................................... II-3 Support Account Budget Attributes ........................................ II-4 Create Support Accounts .................................................. II-4 Bottom Line Control .......................................................... II-4 Default Category Control .................................................. II-4 Default Tolerance Percent ................................................ II-5 TAMU Support Account Checklist .................................................. II-6 Support Account FAQs ................................................................... II-7 Screen 50 Create/Modify Your Department Support Accounts ..................... II-10 Add a New Support Account .................................................... II-10 Modify an Existing Support Account........................................ II-11 Screen 51 Fiscal Office Support Account Entry ............................................... II-15 Add a New Support Account .................................................... II-15 Modify an Existing Support Account........................................ II-15 Create Support Accounts ......................................................... II-16 Screen 51C Support Account Effort Category Updates ..................................... II-21 Screen 54 Set/Reset Support Account Flags ................................................... II-23 SA Flag Maintenance Process .................................................. II-24 Screen 56 Support Account Transaction Move ............................................... II-27 Screen 57 Departmental Encumbrances ......................................................... II-31 Screen 58 Support Account Category Maintenance ....................................... II-34 Screen 754 Payroll Encumbrance Adjustment-Wage ....................................... II-36 III Support Account Budget Maintenance Screen 53 Move Support Account Budgets .................................................... III-3 Screen 64 Support Account Budget Data List ................................................. III-6 IV Support Account Inquiry Screen 63 Transaction Inquiry by Support Account ........................................ IV-3 Screen 65 SA Summary for SL with Category Totals ....................................... IV-6 Screen 68 Support Account Search ................................................................. IV-9 Screen 69 SA 11 Digit List with Category Totals .............................................. IV-12 Screen 74 SA Summary by Budget Pool .......................................................... IV-15 Screen 76 Transactions for a Month by Reference Number 2 or 4 ................ IV-18 Screen 77 Transaction Inquiry on Reference Number 2 or 4 .......................... IV-21 Screen 78 Transaction Inquiry by Account/Subcode/Month .......................... IV-25 Screen 79 SA Detail Account Statement for a Month ..................................... IV-28 Table of Contents (cont’d) V Departmental Profile Functions PAGE FRS M07 and Departmental Profiles Menu Screens ............................................ V-3 SPR M12 Departmental Accounting Profiles Basic Concepts ........................ V-4 Define Departmental Profiles .................................................. V-4 Assign Target Budgets .............................................................. V-9 VI Profile Maintenance Screen 715 Maintain Department Defined Profiles .......................................... VI-3 Add New Department Profiles ................................................. VI-3 Modify Department Profiles .................................................... VI-3 Profile Categories ..................................................................... VI-4 Profile Search and Select ......................................................... VI-4 Screen 720 Add/Update Dept. Defined Subsidiary Ledger Budgets ................. VI-6 Unallocated Revenue and Expense ......................................... VI-6 Screen 730 Add/Update Dept. Defined Support Account Budgets .................. VI-8 Unallocated Revenue and Expense ......................................... VI-8 SPR Screen 160 Add/Update Dept. Defined SPR Project Budgets ........................... VI-10 Unallocated Revenue and Expense ................................................ VI-11 VII Profile Account Inquiry Screen 721 Display SL Ledger Account Summary by Target Budget ................. VII-3 Screen 731 Display SA Summary by Target Budget .......................................... VII-6 Screen 722 View SL Account Summary by Category ......................................... VII-9 Transaction Matching Process ................................................. VII-10 Screen 732 View SA Summary by Category ...................................................... VII-12 Transaction Matching Process ................................................. VII-13 VIII Sponsored Research Profile Inquiry SPR Screen 159 View the Department Defined Profile ............................................ VIII-3 Profile Categories ..................................................................... VIII-3 Profile Search and Select ......................................................... VIII-4 SPR Screen 161 Display the Project by Target Budget ............................................. VIII-5 SPR Screen 162 View the Project by User Category ................................................ VIII-8 Transaction Matching Process ................................................. VIII-9 IX Appendix Instructions ..................................................................................... IX-3 Standard PF Keys ............................................................................ IX-8 Departmental Accounting Screens List .......................................... IX-10 FAMIS Financial Accounting Transaction Codes............................. IX-12 FAMIS Session/Batch Header Codes .............................................. IX-14 FAMIS Reference Codes ................................................................. IX-15 Flag Maintenance Definitions ........................................................ IX-19 GL Flag Definitions ................................................................... IX-19 SL/SA Flag Definitions .............................................................. IX-20 Glossary .......................................................................................... IX-23 Departmental Support Account Menus The support account inquiry screens are found on Menu M05. Menu M05 – Support Account Inquiry M05 Support Account Inquiry 02/13/14 09:57 FY 2014 CC 02 Screen: ___ Account: ______ _____ ____ Support Account Inquiry Screens 51B Support Account Dollar Totals 071 15 Digit Snapshot 072 OC Record Snapshot 060 SA OC 15 Digit List 073 Annual 15 Digit Activity by Mnth 061 SA OC File List 074 SA Summary by Budget Pool 062 SA Open Cmnts. by User Ref or PO 076 Trans for Month by Ref 2 063 Trans. Inquiry by Support Account 077 Trans Inq. for Ref 2 064 Support Account Budget Data List 078 Trans by Account/Month/Subcd 065 SA Summary for SL w/Category Ttls 079 SA Detail Account Statement 066 SA OC Inquiry by Reference 068 Support Account Search 069 SA 11 Digit List w/Category Ttls Enter-PF1---PF2---PF3---PF4---PF5---PF6---PF7---PF8---PF9---PF10--PF11--PF12--- Hmenu Help EHelp The support account maintenance screens are found on Menu M06. Menu M06 – Support Account Maintenance M06 Support Account Maintenance 02/13/14 10:02 FY 2014 CC 02 Screen: ___ Account: ______ _____ ____ Support Account Maintenance Screens 050 Department SA Attributes 051 Support Account Attributes 51C SA Effort Category Updates 052 Support Account Attributes 2 52B SA Delegation of Authority 053 Support Account Budget Move 054 Support Account Flag Maint. 055 SA 15 Digit Maintenance 056 SA Transaction Move 057 Departmental Encumbrances 058 SA Category Maintenance 059 SA Account CFDA and THECB Codes Enter-PF1---PF2---PF3---PF4---PF5---PF6---PF7---PF8---PF9---PF10--PF11--PF12--- Hmenu Help EHelp Departmental Profiles Menus (cont’d) Section II Support Account Maintenance Basic Concepts: Support Accounting Maintaining budget data allows you to compare planned income, allotments, and expenditures to actual results. Budgets may be established for Subsidiary Ledger (SL) or Support Accounts (SAs). Your budgets are updated in real-time mode and allow you to control future expenditures and encumbrances. What are Support Accounts? Support Accounts (SAs) are subdivisions of Subsidiary Ledger (SL) accounts. They are commonly used to track account activity at a more detailed level than is provided at the SL level. For example, SL account 300090, the Stadium Revenue Fund, could be further divided into several SAs in order to track specific groups with a larger group. 300090 50000 13000 70000 SAs are often referred to as “15-Digit Accounts.” This is due to the fact that the SA is composed of three elements, including the 6-digit SL account number, the 5-digit SA number, and the 4- digit object code. Note: Without the 4-digit object code, the SA is sometimes referred to as an “11-digit account.” For example, account number 30090 50000 4010 is representative of the SL account 300090 (Stadium Revenue Fund), plus the SA number 50000 (Men’s Golf), with an object code of 4010 (office supplies). Valid Accounts Before you can create your Support Account (SA), the fiscal office must first access Screen 6 to modify the Subsidiary Ledger (SL) account to allow for Support Account creation and transactions. This is done by setting the SA Create Enable field to “Y.” You may establish budgets for your Support Accounts (SAs) provided that the “parent” Subsidiary Ledger (SL) account has been set up to allow budget transactions at the SA level. In order for SAs to process budget transactions, the SL must have the SA transaction flags set to either “B” (transaction may occur at both the SL and SA levels) or “Y” (transaction may occur only at the SA level). This flag must be set for budget and actual transactions with the indicators for both expense and revenue object codes. Basic Concepts: Support Accounting (cont’d) Support Account Budget Attributes Create Support Accounts Before you may create a Support Account, the fiscal office must first access Screen 6 to modify the Subsidiary Ledger (SL) account to allow for Support Account creation and transactions. This is done by setting the SA Create Enable field to “Y.” Support Accounts may then be created using Screen 50. From Screen 50, you should enter a valid 5-digit support account number and press . Type in the account information as desired. To record the information, press . Support Account Budget Attributes Bottom Line Control Controlling your budget by its “bottom line” means that FAMIS will allow transactions to post to the support account as long as there is budget available in the support account total, regardless of the budget (or lack of) at the category or pool level. (See below – Default Category Control.) When the bottom line control flag is set to “Y,” transactions against your support account will post only as long as they do not exceed the budget balance available for your support account as a whole. Default Category Control Default category control tells you whether or not the account budget is controlled at the pool (or category) level. Category (pool) control means that FAMIS will allow transactions to post to the support account as long as there is budget available in the pool. If the pool does not have enough budget to cover the transaction, the transaction will reject. You may use this budget control in addition to, or in place of, the bottom line control (see above). Valid flag values are as follows: N - No budget control at the category level. It allows the system to process all transactions, including those that cause the category to go over budget. R - Instructs the system to reject transactions when the category goes over budget. W - Instructs the system to warn the user when a transaction will cause the category to go over budget. Once you press on this screen, you may not modify the default category control using Screen 50. You will need to make modifications on Screen 54. Basic Concepts: Support Accounting (cont’d) Default Tolerance Percent Default tolerance percent is a percentage entered to allow a leeway or tolerance against the budget available. This flag is used to control your budget at either the pool or the bottom line level. If you turn the bottom line control flag on (“Y”), the default tolerance percent will apply to your budget as a whole. If you set the default category control flag to “W” or “R,” the default tolerance will apply to the budget at the pool (category) level. If the bottom line control flag is set to “Y” and the default category control flag is set to “W” or “R,” the default tolerance will apply to both, and all transactions must pass both budget checks in order to be processed by FAMIS. You may enter the default tolerance percent as either a positive or negative number. For example: Default Tolerance Percent = 10.00% For a budget of $1000, all transactions totaling $1100 or less will be processed without warnings or rejections issued by FAMIS. Default Tolerance Percent = -10.00% For a budget of $1000, all transactions totaling $900 or less will be processed without warnings or rejections issued by FAMIS. You are now ready to use Screen 50 to create your SA, or you may contact the Fiscal Office and request that it uses Screen 51 to create the SA for you. Basic Concepts: Support Accounting (cont’d) TAMU Support Account Checklist The following checklist is used by Texas A&M University to guide the creation of support accounts within its departments. These procedures are not required, but it is strongly advised that a similar procedure or checklist be provided for any TAMUS member wishing to successfully implement the use of Support Accounts. TAMU Support Account Checklist 1. Revenue budgets may be established at the support account (SA) level or remain at the parent (SL) account level. Revenue collected may be entered at either the support or the parent account level. 2. Expenditure budgets may be established at the support account level or remain at the parent account level. 3. There will be a transition time during which documents can be entered at both the parent account and the support account level. This will allow documents that are “in process” to flow through the system. Examples of these are purchasing documents that have created encumbrances - requisitions, limited, and exempts. Once all the “in process” documents have cleared, the department can choose to use only support accounts. Financial Management Operations should be notified at (979) 845- 8106. They will set the flags on Screen 6 to only allow support accounts. Documents will only be accepted at the support account level after this flag is set. It is the department’s responsibility to notify Financial Management Operations when only support accounts are to be accepted. If Financial Management Operations is not notified, the account will accept documents at both the support account and the parent account levels. 4. The following issues need to be addressed by the department before allowing support accounts only: • Form 500’s for all employees paid on the account need to be processed. This includes current employees as well as new employees. • Centrex, Stores, Physical Plant, and CIS must be notified to include support accounts when billings are processed. • Credit cards for Stores and Bookstore need to be reissued to include the support account number. 5. The monthly FAMIS statement will include statements at the support account and parent account level. 6. Any existing encumbrances on the parent account (that will last for two months or longer and are not salary encumbrances) should be transferred to a support account during the transition period. Checklist Date Contacted Dept Date Moved (if applicable) Form 500 for Payroll Centrex Stores Physical Plant CIS New Credit Cards Encumbrances Moved Fiscal Contacted to set flags for Support Account ONLY Basic Concepts: Support Accounting (cont’d) Support Account FAQs 1. Should I use the 00000 (e.g. 240007-00000) parent account as a support account? a. No. It is NOT recommended to use the 00000 account as a support account since this is the parent account. 2. Do I need to reconcile my support accounts? a. Yes. It is an audit requirement. Reconcile to ensure that all charges are correct and that there are no incorrect entries. 3. What screen do I use to inquire on the balance in my support accounts? a. Use Screen 34 for the main account plus all support accounts summed (e.g., 218050 on Screen 34 includes 218050-00000 + 218050-10000 + 218050-11000, etc.) b. Use Screen 74 for each individual support account (e.g., 218050-00000, 218050-10000, etc.). • If you want to check to see if there is money in the base account, use Screen 74, and inquire on the 00000 support account (e.g., 218050-00000). c. Use Screen 19 for the detail by object code of the entire account and Screen 69 for the detail by object code for support accounts. 4. Do I have to move budget into my support accounts? a. No. Many people do not move any budget in their support accounts, as they only use them to track expenditures. Thus, the support accounts will run negative, but the department could track all transactions using Screen 63. You will need to set the flags on each support account so they do not check budget on Screen 54 if you use this process. This is done on Screen 54. 5. Who creates support accounts for contract and grant accounts (4nnnnn range)? a. The Contract Administration Department sets up all contract and grant subsidiary ledger and support accounts except those in the 461nnn range. The 461nnn accounts are residual funds. In other words, they are funds left over from contracts that the department gets to keep and use. So, departments may create support accounts for the 461nnn accounts. 6. Why don’t departments generally need to set the Default Category Control flag on Screen 50 when setting up support accounts? a. The Default Category Control flag is used when an account has numerous budget pools that need additional controls set on them. Most of Texas A&M’s accounts have only one budget pool (the 1000 All Expense Pool), so setting this flag on support accounts is not necessary. Basic Concepts: Support Accounting (cont’d) b. However, the Contract Administration Department frequently uses this flag for contract and grant accounts. These accounts frequently have numerous budget pools. For example, travel, fringe, equipment, etc. Each category can have an allotted budget. This flag controls what can happen with the budget for each category (no budget control, warning if over budget, reject if over budget). 7. How do the payroll encumbrances work with support accounts? a. Very Important: If salary and wage activity will be recorded on the support account, then the SA Transactions flags on Screen 6 MUST be set to B for Budget Expense and Actual Expense since the Form 500 “moves” budget; otherwise, payroll entries will not post correctly. Do not move budget into support accounts for payroll transactions, because the Personnel Action Request (PAR) entry that is made by Payroll Services will do it. b. When completing a PAR, indicate the main 6-digit subsidiary ledger account and the support account. For example, 240007-10000. When Payroll Services posts the PAR entry, FAMIS will move the payroll encumbrance to the support account. Thus, departments should not move budget into support accounts for payroll transactions. If they do, then the account’s budget would get messed up because it would cause a double entry when the payroll transaction posts. 8. How does Screen 54, Flag Maintenance, work in relation to budget entries? a. No account can be dropped (physically deleted) from FAMIS if certain budget entries have been made for the account. These budget entries are Account Attributes, Budget Entry (versions), and Transfers or Allocations. b. If any of the budget information has been marked in the budget module as “Sent to the Board” (B), “Changes Done” (D), or “Fed to FAMIS Accounting” (F), the account cannot be dropped. The account can remain flagged as deleted to prevent it from rolling into the next year. c. If the budget information does not fall into the previous categories, but a budget entry version has been submitted, certain steps can be taken to drop the account. These steps are as follows: • Change the delete flag to “N” (it had to be set to “Y” to attempt the drop) • Remove the submitted versions using Screen 594 (if dropping during the budget process), or use Screen 53 to move budget from the support account back to the main account. • Change the delete flag to “Y” • Change the drop flag to “Y” d. If budget information exists for the account but has not been marked with a B, D, or F, and no versions have been submitted for the account, the screens will display a pop-up window indicating which type budget entries were found and ask whether the budget information should be deleted. Entering a “Y” in the pop-up will delete the budget information and then drop the account. Basic Concepts: Support Accounting (cont’d) 9. Can a support account be dropped (physically deleted) if there has been activity on it for the year? a. One may freeze the support account from future activity but not drop it in the current year. If the delete flag is set to “Y,” a pop-up window displays stating that there is a budget balance available (i.e. it is not zero) and asking whether you want to delete it anyway. So, one CAN set the delete flag so that the account gets deleted for next fiscal year. However, the drop flag may NOT be set, as a message will appear that the BBA is not zero. b. You will need to move any remaining budget from the support account to the parent account using Screen 53. c. If accounts are dropped with current year activity, there will be problems with rolling balances into the next fiscal year. 10. How can I delete inactive support accounts? a. To delete a support account, the balance available shown on Screen 74 MUST be zero. If there is a balance, use Screen 53 to move budget from the support account to either the base or to another support account. b. Once the balance is zero, use Screen 54. First, change the delete flag to “Y.” Second, change the drop flag to “Y.” (See #9 concerning dropping the account). 11. When I attempt to move a transaction on Screen 56, I get an error message similar to this: F8903 Rejected - SL Category Budget exceeded on 211791-1000 by 7,000.00. Why can’t I move this transaction? a. In this example, you are trying to move a transaction from one support account (00000) to another support account (40000) for account number 211791. The amount of the transaction is $9,000.00. Let’s say that on Screen 34 for 211791, the total balance of the subsidiary ledger account is only $2,000. b. Because you are trying to move money from one support account to another, FAMIS does a Bottom Line Budget check on the base account. FAMIS is looking at the amount of the transaction and sees the total of the transaction is greater than the balance of the base account. FAMIS does this check even though no actual money is being expended from the account at this point; it’s just a transaction move. c. To be able to complete this transaction, you must contact Financial Management Operations (FMO) at (979) 845-0978. FMO will flip the Bottom Line Budget Control flag to allow you to move the transaction. You can now complete the transaction on Screen 56. After you move the transaction, it is very important that you contact FMO again so they can flip the Bottom Line Budget Control flag back. Create/Modify Support Accounts You may create or modify Support Accounts (SAs) for your department using Screen 50. The 11 digits making up a Support Account (SA) number consist of the 6 digit Subsidiary Ledger (SL) account number plus the 5 digit SA identification number. The attributes on this screen may be set to different values than the SL. You have the authority to change this information to make it specific to your support account. Fields left blank will assume the same values as the SL. Once you press on this screen, you may not modify the bottom line control or the default category control using Screen 50. Instead, you would use Screen 54. Screen 50 - Departmental Support Account Attributes 050 Dept Support Account Attributes 04/24/13 10:42 FY 2013 CC 02 Screen: ___ Account: 144015 00000 IMAGE ANALYSIS LABORATORY-COLLEGE O SRS: Account Title: IMAGE ANALYSIS LABORATORY-COLLEGE O Security: ______ Resp Person: 4uuuuuuu2 GRAY, GEORGIA G SA Group: ______ Bot Ln Cntl: Y Deflt Cat Cntl: R Deflt Cat Tol Pct: _______ Old Acct: 18575__________ Roll BBA To Base: _ CC Dept S-Dept Exec Div Coll Mail Cd Stmt Primary: CLVM_ _____ AA CD VM C4461 Y Secondary: _____ _____ _____ _ Admin For: __ _____ _____ Center: __ _____ _____ CS Acct Link: __ ______ Long Title: IMAGE ANALYSIS LABORATORY-COLLEGE OF VET MEDICINE_______________________________ *** All fields entered on this screen override fields on the Parent SL *** Enter-PF1---PF2---PF3---PF4---PF5---PF6---PF7---PF8---PF9---PF10--PF11--PF12--- Hmenu Help EHelp All fields entered on this screen override fields on the Parent SL. Basic Steps Add a New Support Account • Type an existing Subsidiary Ledger (SL) account number and a new Support Account (SA) number in the fields provided and press . • Type an account title. • Indicate whether or not you want bottom line control and/or default category control for the account. • Type additional account information, as desired. • Press to record the account information. Screen 50 – Departmental Support Account Attributes (cont’d) Modify an Existing Support Account • Advance to Screen 50. • Type a Subsidiary Ledger (SL) account number and Support Account (SA) number in the fields provided and press . • Add or modify account information, as desired. • Press to record the account information. Support Account Process Create Support Accounts Before you may create a Support Account, the fiscal office must first access Screen 6 to modify the Subsidiary Ledger (SL) account to allow for Support Account creation and FSA transactions. This is done by setting the SA create enable field to “Y” (see below). Screen 6 - SL 6 Digit Account (FSA) 006 SL 6 Digit Account (FSA) 03/29/12 10:37 FY 2012 CC 02 Screen: ___ Account: 144015 ____ IMAGE ANALYSIS LABORATORY-COLLEGE O Account Title: IMAGE ANALYSIS LABORATORY-COLLEGE O SA create enable: Y SRS: _ Resp Person: 4uuuuuuu2 GRAYSON, GARY G Old Acct: 18575__________ ABR Rule: 001 Map Code: 14400 Reporting Group: __ Bottom Line Cntl: Y Deflt Cat Cntl: R Deflt Cat Tol Pct: _______ AFR Fund Group: 10 Fund Group: FG Sub Fund Group: Sub-Sub: __ Year-End Process: F Year-End Acct: __________ Function: 10 Sub-Fun: __ Default Bank: 72001 Override: Y Proj FYTD End Mo: 08 Aux Code: ___ Alternate Banks: ***** _____ _____ _____ _____ Security: ______ P-Card Bank: _____ State Funds: Y Appropriated: _ --SA Transactions-- CC Dept S-Dept Exec Div Coll Mail Cd Stmt Budget Actual Primary: CLVM_ _____ AA CD VM C4461 Y Expense: B B Secondary: _____ _____ _____ _ Revenue: B B Admn for: __ _____ _____ Center: __ _____ _____ TRS/ORP Exempt: _ Fund Source: 05 _______________________________________ Account Letter: _ Long Title: IMAGE ANALYSIS LABORATORY-COLLEGE OF VET Setup Dt: 07/31/1987 MEDICINE_______________________________ Iteration Dt: 07/31/1987 Enter-PF1---PF2---PF3---PF4---PF5---PF6---PF7---PF8---PF9---PF10--PF11--PF12--- Hmenu Help EHelp Next CAcct CProj AResp Cmnt Left Right Support Accounts may then be created using Screen 50. From Screen 50, you should enter a valid 5-digit support account number and press . Type in the account information as desired. To record the information, press . Support Account Budget Attributes Bottom Line Control Controlling your budget by its “bottom line” means that FAMIS will allow transactions to post as long as there is budget available in the account total, regardless of the budget (or lack of) at the category level. When the bottom line control flag is set to “Y,” transactions against your account will post only as long as they do not exceed the budget balance available for your account as a whole. Screen 50 – Departmental Support Account Attributes (cont’d) Default Category Control (mostly used with grant accounts) The default category control flag tells you whether or not the account budget may be controlled at the pool (or category) level. You may use this budget control in addition to, or in place of, the bottom line control (see above). Valid flag values are as follows: N - No budget control at the category level, i.e. allows the system to process all transactions, including those that cause the category to go over budget. R - Instructs the system to reject transactions when the category goes over budget. W - Instructs the system to warn the user when a transaction will cause the category to go over budget. Default Tolerance Percent Default tolerance percent is a percentage entered to allow a leeway or tolerance against the budget available. This flag is used to control your budget at either the pool or bottom line level. If you turn the bottom line control flag on (“Y”), the default tolerance percent will apply to your budget as a whole. If you set the default category control flag to “W” or “R,” the default tolerance will apply to the budget at the pool (category) level. If the bottom line control flag is set to “Y” and the default category control flag is set to “W” or “R,” the default tolerance will apply to both, and all transactions must pass both budget checks in order to be processed by FAMIS. You may enter the default tolerance percent as either a positive or negative number. For example: Default Tolerance Percent = 10.00% For a budget of $1000, all transactions totaling $1100 or less will be processed without warnings or rejections issued by FAMIS. Default Tolerance Percent = -10.00% For a budget of $1000, all transactions totaling $900 or less will be processed without warnings or rejections issued by FAMIS. Field Descriptions (. = Required; Help = Field Help Available Using PF2, ?, or *) Action Line . Account: 11 digits Enter the desired Subsidiary Ledger (SL) account and Support Account (SA) number. Screen Information SRS: PF2 Help 1 character “Y” identifies this is as an SRS account. Screen 50 – Departmental Support Account Attributes (cont’d) . Account Title: 35 characters Indicate the title of the account. Security: ? Help 6 characters/digits Include the department-defined security code for account access. Resp Person: ? Help 9 digits Enter the UIN number and name of the person responsible for the account. SA Group: PF2 Help 6 digits Identify the grouping of support accounts for security access. . Bot Ln Cntl: PF2 Help 1 character Type “Y” if bottom line control budget checks should be made for the account. It is used on the attribute record only. . Deflt Cat Cntl: PF2 Help 1 character Include the code to instruct the system on how to perform default category control budget checks at the category (pool) level. Now shown on the screens as Budget Control. On the Attribute record, this field will contain the initial/default values for the dollar records. On the dollar records it can have specific values for each record. Examples: N = No Budget Control W = Warning if over budget R = Reject if over budget Deflt Cat Tol Pct: PF2 Help 5 digits Indicate the percentage the category can go over budget. Negative values are also supported. Old Acct: 15 digits Indicate the previous account number used in the old system. Roll BBA to Base: PF2 Help 1 character Type “Y” to indicate year-end processing will move any remaining Budget Balance Available to the base account of the SL. Primary and Secondary . Dept: ? Help 5 characters Enter the departmental code responsible for the account. Defaults from the parent SL account. S-Dept: ? Help 5 characters Shows sub-grouping for departments using account. Screen 50 – Departmental Support Account Attributes (cont’d) Exec: PF2 Help 2 characters Identifies the executive level associated with the account. For example: AD = V.P. – Administration Blank = Not Specified DE = V.P. – Development DI = Director Div: PF2 Help 2 characters Shows the division or campus associated with the account. Displays the information for the department as defined on Screen 860. Coll: PF2 Help 2 characters Identifies the college responsible for the account, as defined on Screen 860. Mail Cd: 5 characters/digits Include the mail code for the responsible person for the account. Secondary mail code is used the same as Mail Code 1. Format is Axxxx, where A is a location indicator and xxxx includes user-defined numbers or alpha characters. Stmt: 1 character Indicate whether or not (“Y” or “N”) an account statement is to be printed. Admin For and Center CC: ? Help 2 digits Campus Code data for this field is associated with the Maestro system. Dept: ? Help 5 characters/digits Department data for this field is associated with the Maestro system. SDept: ? Help 5 characters/digits Subdepartment data for this field is associated with the Maestro system. CS Acct Link: ? Help 2 characters/ Include the Campus Code and linked cost share account number. Long Title: 80 characters Provides additional space to enter the full title of the account. Additional Functions PF KEYS See the Appendix for an explanation of the standard PF keys. Fiscal Office Support Account Entry The Fiscal Office may be called upon to create Support Accounts (SAs) for departments that are not set up to use Screen 50. In this case, SAs may be created or modified by using Screen 51. The 11 digits making up a Support Account (SA) number consist of the 6-digit Subsidiary Ledger (SL) account number plus the 5-digit SA identification number. All fields entered on this screen override the values set at the Parent SL. Screen 51 - Support Account Attributes (Fiscal Office Use Only) 051 Support Account Attributes 04/24/13 11:01 FY 2013 CC 02 Screen: ___ Account: 144013 00000 VET MED - TEACHING HOSPITAL SRS: Account Title: VET MED - TEACHING HOSPITAL________ Security: ______ Resp Person: 1uuuuuuu8 STREETER, SAUL S SA Group: ______ Bot Ln Cntl: Y Deflt Cat Cntl: R Deflt Cat Tol Pct: _______ Default Bank: 73001 Override: Y Delg Type: _ Old Acct: 18564__________ Alt. Banks: ***** _____ _____ _____ _____ Roll BBA To Base: _ P-Card Bank: _____ SL Function: 10 SA Function: 10 Effort Cat: DINS_ CC Dept S-Dept Exec Div Coll Mail Cd Stmt Primary: VTEA_ _____ AA CD VM C4457 Y Sys Member: __ Secondary: CLVM_ _____ AA CD VM C4461 Y Off Campus: _ Admin For: __ _____ _____ ---- Indirect Cost ----- Center: __ _____ _____ Base: ________ 90 Day Pre: _ Classing Cd: _ Rate: ______ Start Date: __________ TAMRF Nbr: ___________ Distribution: __________ End Date: __________ CS Acct Link: __ ______ Expense Obj: ____ Long Title: VET MED - TEACHING HOSPITAL_____________ Revenue Obj: ____ ________________________________________ *** All fields entered on this screen override fields on the Parent SL *** Enter-PF1---PF2---PF3---PF4---PF5---PF6---PF7---PF8---PF9---PF10--PF11--PF12--- Hmenu Help EHelp Basic Steps Add a New Support Account • Go to Screen 6 and set the SA creation enable field to “Y” on the SL. • Advance to Screen 51. • Type an existing Subsidiary Ledger (SL) account number and a new Support Account (SA) number in the Account field and press . If this is the number of an existing account, its attribute information will appear. If this is the number of a new account, no attribute information will appear, but you can now input this information in the necessary fields. • Type an Account Title. Indicate whether you want bottom line control (Bot Ln Cntrl field) and/or default category control (Deflt Cat Cntrl field) for the account. • Type additional account information, as desired, and press to record the account information. Modify an Existing Support Account • Advance to Screen 51. • Type a Subsidiary Ledger (SL) account number and Support Account (SA) number in the Account field and press . • Add or modify account information, as desired, and press to record the account information. Screen 51 – Support Account Attributes - Fiscal Office Use Only (cont’d) Support Account Process Create Support Accounts Support Accounts offer budget and expense tracking at a level below the SL. Before you create a Support Account, the fiscal office must access Screen 6 to modify the Subsidiary Ledger (SL) account to allow for Support Account creation and transactions. This is done by setting the SA create enable field to “Y.” Support Accounts may then be created by the Fiscal Office using Screen 51. From Screen 51, you should enter a support account number and press . Type in the account information as desired, and press to record. The data in the Effort Cat field should accurately reflect the activities of the account, both at the SA and the SL level. This is a key item in preparing the IDC calculation. If this field is left blank, the information will be considered equal to the SL level on Screen 8. In addition, this information will be reflected on the FBAR246 and FBAR541 reports. Field Descriptions (. = Required; Help = Field Help Available Using PF2, ?, or *) Action Line . Account: 11 digits Enter the Subsidiary Ledger (SL) account and Support Account (SA) number to be created/modified. Screen Information SRS: PF2 Help 1 character “Y” identifies this is as an SRS account. . Account Title: 35 characters Type the title of the account. Security: PF2 Help 6 digits Enter a TINS security code indicating who can change the vendor you set up. Valid values are 0, 1, or 2. . Resp Person: PF2 Help 9 digits Type the UIN of the person responsible for the account. SA Group: PF2 Help 6 digits Use as a user-defined security code for support accounts. . Bot Ln Cntl: PF2 Help 1 character Indicate whether or not (“Y” or “N”) bottom line control is used on the attribute record only. Screen 51 – Support Account Attributes - Fiscal Office Use Only (cont’d) . Deflt Cat Cntl: PF2 Help 1 character Include the appropriate code to instruct the system on how to perform default category control budget checks at the category (pool) level. Now shown on the screens as Budget Control. On the Attribute record, this field will contain the initial/default values for the dollar records. On the dollar records, it can have specific values for each record. For example: N = No Budget Control W = Warning if over budget R = Reject if over budget Deflt Cat Tol Pct: PF2 Help 5 digits Indicate the percentage the category can go over budget. Negative values are also supported. . Default Bank: 5 digits Include the default bank account number for transactions written against the support account. Override: 1 character Enter “Y” to allow opening of a session established by a different user ID on the same day. Delg Type: PF2 Help 1 character Enter the delegation type for the account. . Old Acct: 15 digits Indicate the previous account number used in the old system. Alt. Banks: 5 digits or asterisks (*****) / 5 fields available Include alternate bank account numbers for transactions written against the support account. Alternate banks may be entered using wild cards (i.e. ***** or 1****). You may enter up to 5 specific banks. Roll BBA to Base: PF2 Help 1 character Enter “Y” to indicate year-end processing will move any remaining Budget Balance Available to the base account of the SL. P-Card Bank: 5 digits Include the P-Card bank when you wish to feed a different default bank over to Citibank. (This field was added for Part 06/07 and 20 so that they can use different banks when they are getting low on funding in the usual default bank. SL Function: 2 digits Displays the function code for the SL account. SA Function: PF2 Help 2 digits Used by TAMUS to hold the NACUBO function code. Screen 51 – Support Account Attributes - Fiscal Office Use Only (cont’d) Effort Cat: PF2 Help 5 characters Enter the appropriate effort category code for the account. This is a key item in preparing the IDC calculation. For example: Blank = Not specified CSIN = Cost share instruction CSOR = Cost share-organized research CSOS = Cost share-other spon. activities DCSH = Direct – Cost sharing Primary and Secondary Dept: PF2 Help 5 characters Designate the department responsible for the account. S-Dept: PF2 Help 5 characters Indicate a sub-grouping for departments using the account. Exec: PF2 Help 2 characters Identifies the executive level office responsible for the account. Div: PF2 Help 2 characters Indicates the division using the account. Coll: PF2 Help 2 characters Identifies the college responsible for the account. Mail Cd: 5 characters/digits Include the mail code for the location or address of responsible person; Secondary mail code used the same as Mail Code 1. Format is AXXXX where A is a location indicator and XXXX are user-defined numbers or alpha characters. Stmt: 1 character Indicate whether or not (“Y” or “N”) a statement for the account is to be printed. Sys Member: PF2 Help 2 digits Identify which TAMUS member the account is associated with. For example: BL = Not specified 02 = Texas A&M University 15 = TAMU-Corpus Christi 20 = TVMDL 21 = TAMU-Commerce Off Campus: PF2 Help 1 character Indicate whether or not (“Y” or “N”) work associated with the account is being done off-campus. Work done off-campus may be subject to different indirect cost rates. Screen 51 – Support Account Attributes - Fiscal Office Use Only (cont’d) Admin For and Center CC: PF2 Help 2 digits Campus Code data for this field is associated with the Maestro system. Dept: PF2 Help 5 characters/digits Department data for this field is associated with the Maestro system. SDept: PF2 Help 5 characters/digits Subdepartment data for this field is associated with the Maestro system. (For Research Projects) 90 Day Pre: 1 character Type “Y” if this support account can be used for pre-awards. Start Date: 8 digits Identify the date when an account was/will be activated. Also used to identify the start date of the budget period related to sponsored projects. End Date: PF2 Help 8 digits Indicate the date when an account was/will be terminated as an active account. Also used to identify the ending date of the budget period related to sponsored projects. Classing Cd: PF2 Help 1 character Indicate whether or not (“Y” or “N”) the account should be included on the classing list, used by TAMRF, when applicable. N = No Y = Yes BLANK = Not Applicable/No/Unknown TAMRF Nbr: 11 digits Identify the TAMU Research Foundation project number associated with the account. CS Acct Link: PF2 Help 2 digits, 6 digits Include the Campus Code and linked cost share account. Long Title: PF2 Help 80 characters Provide additional space to enter the full title of the account. When the Account Title is modified, this field will also be updated. Indirect Cost Base: PF2 Help 8 characters/digits Indicate the rules (base) for calculation of indirect cost charges. For example: CYCLOTRO = Cyclotron MTDC Base MTDC = Modified direct cost S&W = Salaries & wages Only TDC = Total direct cost 425195 = TXDOT - JR. HIGH SAFETY PROGRAM Screen 51 – Support Account Attributes - Fiscal Office Use Only (cont’d) Rate: 6 digits Identify the rate at which indirect costs will be charged. Distribution: PF2 Help 10 characters Include the distribution code, which defines the percentage of distribution of indirect costs. For example: FEDERAL = Federal indirect cost revenue MISC = Miscellaneous indirect cost revenue STATE = State indirect cost revenue VPADMIN = Administrative allowance-Bush Library WELCH = Welch indirect cost revenue Expense Obj: 4 digits Designate the object code used for billing a sponsor for indirect costs associated with a project. Revenue Obj: 4 digits Identify the object code used for specifying revenue received from indirect expenses associated with a project. Additional Functions PF KEYS See the Appendix for an explanation of the standard PF keys. Support Account Effort Category Updates To update the effort category for a support account (SA), use Screen 51C. All fields entered on this screen override fields on the parent SL account. Screen 51C – SA Effort Category Updates 51C SA Effort Category Updates 09/21/11 09:02 FY 2012 CC 02 Screen: ___ Account: 144010 00000 Effort Category: DINS_ DIRECT - INSTRUCTION Dept: VBMS VET - BIOMEDICAL SCIENCE *** All fields entered on this screen override fields on the Parent SL *** ------------------------ SL Information - Display Only ------------------------ Effort Category: DINS DIRECT - INSTRUCTION Dept: VBMS VET - BIOMEDICAL SCIENCE Fund: 05 STATE GENERAL REVENUE Function: 10 INSTRUCTION Comments: STATE FUNDING FOR THE COLLEGE OF VETERINARY MEDICINE - BIOMEDICAL SCIENCE OPERATING EXPENSES. PURCHASES MUST FOLLOW STATE GUIDELINES. Enter-PF1---PF2---PF3---PF4---PF5---PF6---PF7---PF8---PF9---PF10--PF11--PF12--- Hmenu Help EHelp Basic Steps • Type the account number in the Account field and press to display current effort category information. • Modify the fields as desired, and press to record the information. Field Descriptions (. = Required; Help = Field Help Available Using PF2, ?, or *) Action Line . Account: 11 digits Enter the desired Subsidiary Ledger (SL) account + Support Account (SA) number to be updated. Screen Information . Effort Category: PF2 Help 5 characters Enter the effort category code for the account. For example: Blank = Not specified CSIN = Cost share instruction CSOR = Cost share-organized research CSOS = Cost share-other spon. activities DCSH = Direct – Cost sharing This is a key item in preparing the IDC calculation. Screen 51C – Support Account Effort Category Updates (cont’d) Dept: PF2 Help 5 characters Designate the department responsible for the account. SL Information Effort Category: 5 characters Displays the effort category code for the SL account. Dept: 4 characters Shows the department responsible for the SL account. Fund: PF2 Help 2 digits Identifies the funding source for the SL account. Function: 2 digits Displays the function code for the SL account. Comments: 4 lines Shows comments about the SL account. Additional Functions PF KEYS See the Appendix for an explanation of the standard PF keys. Set/Reset Support Account Flags FAMIS allows you to support and maintain Support Account (SA) flags online by using Screen 54. Six flags help control activity against each supporting account. These flags allow review, freezing, dropping, or deletion of an account, as well as annual and monthly budget suppression. This screen can be used by the Fiscal Office and the departmental personnel. Screen 54 - Support Account Flag Maintenance 054 Support Account Flag Maintenance 09/21/11 09:04 FY 2012 CC 02 Screen: ___ Account: 144013 22000 VMTH - ANESTHESIOLGY Support Account Flags Y - FREEZE this account from future activity N - Flag for DELETE (Not rolled forward at Year End) N - Physically DROP this Support Account (Must be deleted first) N - Bottom Line Budget Control / Unprotect Budget Control Note: A Budget Control Flag of 'N' does not check Bottom Line and turns off protection of Protected Categories. The 'P' flag on Screen 10D will still display. N - Default Category Control Default Category Tolerance Pct: _______ N - FREEZE Direct Expenses Enter-PF1---PF2---PF3---PF4---PF5---PF6---PF7---PF8---PF9---PF10--PF11--PF12--- Hmenu Help EHelp Int Warns When changing the Bottom Line Budget Control/Unprotect Budget Control from “Y” to “N,” the following message will appear. Screen 54 – Pop-Up Window +----------------------------------------------------------------------------+ | | | Note: Reserve Budget Amounts exists on this account. | | | | Changing the Bottom Line Budget Control on this account from | | 'Y' to 'N' will no longer protect the Reserve Budget Amounts | | and the Reserve Budgets can be used by other expenditures. | | | | Note: The 'P' flag on Screen 10D will still display. | | | | Press to Continue, or | | Press to Cancel the Bottom Line Budget Control change. | | | | | +----------------------------------------------------------------------------+ An account cannot be dropped (physically deleted) from FAMIS if certain budget entries have been made for the account. These budget entries are Account Attributes, Budget Entry (Versions), and Transfers or Allocations. If any of the budget information has been marked as “Sent to the Board” (B), “Changes Done” (D), or “Fed to FAMIS Accounting” (F), the account cannot be dropped. The account can remain flagged as deleted to prevent it from rolling into the next year. Screen 54 – Support Account Flag Maintenance (cont’d) If the budget information does not fall into the previous categories but a budget entry version has been submitted, certain steps can be taken to drop the account. These steps are as follows: a) change the delete flag to N (it had to be set to "Y" to attempt the drop) b) remove the submitted versions using Screen 584 or Screen 594 c) change the delete flag to “Y” d) change the drop flag to "Y" If budget information exists for the account but has not been marked with a B, D, or F and no versions have been submitted for the account, the screens will display a pop-up window indicating which type budget entries were found and ask whether the budget information should be deleted. Entering a “Y” in the pop-up will delete the budget information and then drop the account. Basic Steps • Enter the account number in the Account field and press to display the current flag values. • Set flag values for each account. Press to record the record. • Enter new account numbers and flag values until all flags have been set or changed. Support Account Flag Maintenance Process Six flags help control activity against each Support account. These flags allow freezing, dropping, or deletion of an account, as well as maintaining its budget processes. Flags may be set to on or off. Possible values are as follows: Y (on) indicates that an action will occur N (off) indicates that the action will not occur Exceptions: • Default category control flag may be set to “R,” “W,” or “N” Support Account Flags FREEZE: The freeze flag restricts posting certain types of direct transactions to an account. Cash receipts, disbursements, and journal entries are rejected if processed against a "frozen" account. It allows the existing activity to process but will not allow future activity of any type. This flag will not prevent the account from rolling forward. Transactions that are accepted against a frozen account include attribute modifications, journal entries with a special transaction code of 062, and indirect updates. All transactions processed against a frozen account generate diagnostic messages. Screen 54 – Support Account Flag Maintenance (cont’d) DELETE: The delete flag, when set to “Y” (On), restricts any further activity against an account. It logically removes the account from the fields but continues to store it for audit purposes. DROP: The drop flag is used to identify an account that is to be physically purged from the file. When the drop flag is set to “Y” (On), the account is removed from the database file. BOTTOM LINE BUDGET CONTROL: Provides the ability to control the SA account budget based on the BBA (Budget Balance Available). When the flag is set to “Y,” sufficient budget must be available across all budget pools to process a transaction. Y = Control on “bottom line.” Instructs the system to reject all transactions that may cause the SA budget to exceed the bottom line. N = No control on “bottom line.” Allows the system to process all transactions, including those that cause the SA budget to go over the bottom line. DEFAULT CATEGORY CONTROL: Provides the ability to control the SA account budget based on the available funds in the budget pool or category specific to the expense code on the transaction. Valid values are as follows: R = Reject if over budget. Used to instruct the system to reject transactions when the pool or category goes over budget. W = Warning if over budget. Used to instruct the system to warn the user when a transaction will cause the pool or category to go over budget. N = No budget control at the pool or category level. Used to allow the system to process all transactions, including those that cause the pool or category to go over budget. DEFAULT CATEGORY TOLERANCE PCT: An additional element of the Default Category Control. If this field is used, this is the percentage that a pool can go over budget. Negative values are also supported. FREEZE DIRECT EXPENSE: (Formerly the CONTRACT-GRANT FLAG) Provides the ability to prevent direct transactions from being processed and still allow IDC charges to be posted. This flag does not prevent the account from rolling forward. Field Descriptions (. = Required; Help = Field Help Available Using PF2, ?, or *) Action Line . Account: 11 digits Enter a Subsidiary Ledger + Support Account number. Screen 54 – Support Account Flag Maintenance (cont’d) Screen Information FREEZE: PF2 Help 1 character Type “Y” to freeze the account and restrict posting certain types of direct transactions to an account. Allows existing activity to process but will not allow future activity of any type. DELETE: PF2 Help 1 character Enter “Y” to delete the account and restrict all further activity against an account. DROP: PF2 Help 1 character Type “Y” to drop (remove) the account from the file. Must be deleted first. Bottom Line PF2 Help 1 character Budget Control/ Enter “Y” to indicate that bottom line budget checks should be used in checking Unprotected budget for an account. Only used on attribute record. Budget Control: Y = Control on “bottom line.” Instructs the system to reject all transactions that may cause the SA budget to exceed the bottom line. N = No control on “bottom line.” Allows the system to process all transactions, including those that cause the SA budget to go over the bottom line. The “P” flag on Screen 10D will still display. Default Category PF2 Help 1 character Control: N = No budget control at the category level R = Reject if over budget Values of “R” will cause the transaction to reject if the pool or category is over budget. W = Warning if over budget. Instructs to display a warning message only Default Category PF2 Help 5 digits Tolerance Pct: Indicate the percentage the category can go over budget. Negative values are also supported. FREEZE Direct PF2 Help 1 character Expenses: Identify whether or not to freeze the account from making direct expense transactions (those within the 1000 - 9599 object code range). Revenue and indirect are still allowed to post. Y = Freeze direct expenses N = (or blank) do not freeze Additional Functions PF KEYS See the Appendix for explanation of the standard PF keys. PF6 Interest Int Shows the account numbers using specified interest account. PF12 Warnings Warns Displays nonfatal FAMIS warning messages. Support Account Transaction Move Use Screen 56 to move transactions online from one Support Account to another. This is beneficial to departments as they can manage their SA accounts without Business Office involvement. Transaction types 02x and 05x are not allowed on this screen. Screen 56 – Support Account Transaction Move 056 SA Transaction Move 09/21/11 16:21 GULF OF MEXICO OFFSHORE OPERATIONS FY 2011 CC AA Screen: ___ Account: 440001 00000 Month: 2_ Search On Ref: 2 Ref Nbr: _______ Display Ref: 2 Internal Tracking No: 78654___ Obj Code: 4010 P.O. No: ID No: Vvvvvvvvvv0 Ref Cost Ref Type: 048 Enc Obj: Bank: 00001 2: 0000035 1: Date: 02/25/2009 3: C874884 2: Amount: 100.00 4: 0303030 3: _______________________ Modifiable information is Below _______________________ Description: A-1 PROPANE A-1 PROPANE____________ Dept Ref #: 0303030 ------- Cost Ref -------- ------- Account Title -------- To SA Amount 1 2 3 GULF SHORE OPERATIONS 10000 100.00______ _______ _______ _______ _____ ____________ _______ _______ _______ _____ ____________ _______ _______ _______ _____ ____________ _______ _______ _______ _____ ____________ _______ _______ _______ _____ ____________ _______ _______ _______ Transactions: 0 Amount: 0.00 Batch: 0001JC Date: 07/31/2011 Enter-PF1---PF2---PF3---PF4---PF5---PF6---PF7---PF8---PF9---PF10--PF11--PF12--- Hmenu Help EHelp Post SAcct Warns Press PF7 to view transactions and make your selection. Search - PF7 SAcct (Panel 1) 056 SA Transaction Move 09/21/11 16:21 +----------------------------------------------------------------------------+ F2202 Mark field with an "X" to select Transactions for a Month by Reference Number 2 or 4 GULF OF MEXICO OFFSHORE OPERATIONS Screen: ___ Account: 440001 00000 Month: 2_ Search On Ref: 2 Ref Nbr: _______ Display Ref: 2 Bank Option: N S Sbcd TC Ref 2 Date Description Amount I BatRef Offset Acct - ---- --- ------- ----- ---------------- --------------- - ------ ----------- _ 4010 048 0000035 02/25 A-1 PROPANE 100.00 N DLW001 _ 4010 048 0000035 02/25 A-1 PROPANE 100.00- C DLW001 _ 4010 048 0000035 02/25 A-1 PROPANE 100.00- C DLW001 _ 4010 068 0000037 02/02 A&M TRAVEL SERVI 23.00 JKAP01 043000 2100 ** End of List - 4 Account(s) Found ** PF3= Back to 056 PF4= Exit PF6=View PF10=Left PF11=Right +----------------------------------------------------------------------------+ Screen 56 – Support Account Transaction Move (cont’d) Search - PF7 SAcct (Panel 2) 056 SA Transaction Move 09/21/11 16:26 +----------------------------------------------------------------------------+ F2202 Mark field with an "X" to select Transactions for a Month by Reference Number 2 or 4 GULF OF MEXICO OFFSHORE OPERATIONS Screen: ___ Account: 440001 00000 Month: 2_ Search On Ref: 2 Ref Nbr: _______ Display Ref: 2 Bank Option: N S Sbcd TC Ref 2 Date SAcct Description Amount - ---- --- ------- ----- ----- ------------------------------- --------------- _ 4010 048 0000035 02/25 00000 A-1 PROPANE 100.00 _ 4010 048 0000035 02/25 00000 A-1 PROPANE 100.00- _ 4010 048 0000035 02/25 00000 A-1 PROPANE 100.00- _ 4010 068 0000037 02/02 00000 A&M TRAVEL SERVICES INC 23.00 ** End of List - 4 Account(s) Found ** PF3= Back to 056 PF4= Exit PF6=View PF10=Left PF11=Right +----------------------------------------------------------------------------+ Basic Steps • Type an account number in the Account field and press . • Type the month of the transaction in the Month field and the reference number (if available) that is to be moved to another account in the Ref Nbr field. • Press PF7 to access a pop-up screen displaying transactions and select the transaction to be moved. • In the Description field, briefly describe the transaction (e.g. C/N to support account 50000). • Under To SA, include the account where the transaction is to be moved, and indicate the Amount. Enter Cost Ref (Reference) information, if needed. Press and the SA account title will be displayed. • Press PF5 to post the SA transaction move. Field Descriptions (. = Required; Help = Field Help Available Using PF2, ?, or *) Action Line . Account: 11 digits Enter the desired account number. Month: 2 digits Include the month of the transaction. The default is the current processing month. Search on Ref: 1 digit Indicate the reference number to be used for transaction search. Ref Nbr: 7 characters/digits Include a reference number/PO number, if needed. Screen 56 – Support Account Transaction Move (cont’d) Display Ref: 1 digit Indicate the reference number to be used for the display of the transaction. Internal 8 digits Tracking No: Enter a tracking number for use by FAMIS Services. Screen Information Obj Code: 4 digits Shows object code for the transaction. P.O. No: 7 character/digits Provides the Purchase Order number used with the transaction. ID No: 11 characters/digits Shows the user-defined identification number entered on the original document. Type: 1 digit Identifies the transaction code for the type of transaction. The third digit of the transaction code (1 – 9) represents the type of receipt. Enc Obj: 4 digits Shows the object code where the purchase order was originally encumbered. Bank: 5 digits Displays the bank to receive the deposit as entered on Screen 30, FA Batch Initialize. Date: 8 digits Displays the date the transaction was originated. Amount: 12 digits Shows the dollar amount of the transaction. Ref 2, 3, 4: PF2 Help 7 characters/digits Identifies the reference number for receipts as defined by your department. Cost Ref 1, 2, 3: 7 characters/digits Shows the cost reference number for receipts as defined by your department. Modifiable Information: Description: 35 characters Type a description to identify the transaction. Dept Ref #: ? Help 7 digits Enter the reference number assigned by the department. Account Title: 30 characters Shows the full title of the account after entering the SA account and amount to be moved. Screen 56 – Support Account Transaction Move (cont’d) To SA: 5 digits Enter the support account number where the amount is to be transferred. Amount: 12 digits Indicate the dollar amount to be transferred from one account to another. Cost Ref 1: 8 digits Include a cost reference number defined by your department. Cost Ref 2: 8 digits Include a cost reference number defined by your department. Cost Ref 3: 8 digits Include a cost reference number defined by your department. Transactions: 1 digit Shows the number of transactions made to change this account. Amount: 12 digits Displays the total dollar amount of the changes. Batch: 6 characters/digits Shows the batch ID number of the person who made changes. Date: 8 digits Displays the batch date indicating the actual date changes were made to the account. Additional Functions PF KEYS See the Appendix for explanation of the standard PF keys. PF5 Post Post Post the modified transactions. PF7 Support Account SAcct Provides the ability to search account transactions. PF12 Warnings Warns Displays nonfatal FAMIS warning messages, if any. Departmental Encumbrances Departments can use Screen 57 for certain encumbrances they want to make on an account. The ability to establish a new encumbrance (i.e. increase) or “zero out” an existing encumbrance is included here. There is, however, no liquidation for these adjustments. The first step in adjusting these encumbrances is to identify the support account that has the original encumbrance. Two support account screens to help you are Screen 68 (Support Account Search) and Screen 63 (Transaction Inquiry by Support Account). The current amount of the encumbrance (if any) will be displayed. The encumbrance object code, transaction code, and reference will also be displayed on the screen, but you cannot change these fields. They are determined by the encumbrance type entered in the Encumbrance field. Screen 57 cannot be used to adjust or establish payroll encumbrances. There is no need to enter a batch when using this screen because a batch will be open in the background. Cost Refs are used by some parts as another way to track expenses. They are required for certain accounts, and whether or not they are required is determined on Screen 8 or Screen 52. Screen 57 – Departmental Encumbrances 057 Departmental Encumbrances 09/21/11 09:11 FY 2011 CC AM Screen: ___ Account: 440001 00000 Encumbrance: B BENEFITS Obj Code: 1906 Liquidated: Type: 051 Adjustments: Enc Ref: BEN0001 Current: Date: 08/31/2011 Description: ___________________________________ Amount: _____________ Increase/Decrease: _ (I/D) Cost Ref 1: _______ 2: _______ 3: _______ Transactions: 0 Amount: 0.00 Batch: 1586JC Date: 08/31/2011 Enter-PF1---PF2---PF3---PF4---PF5---PF6---PF7---PF8---PF9---PF10--PF11--PF12--- Hmenu Help EHelp Warns You can access a list of the encumbrance types, if they have been defined on Screen 853, by placing your cursor in the Encumbrance field, pressing PF2, and then pressing . This does not include Purchase Order or Payroll encumbrances. To use this functionality, FAMIS Services must define valid encumbrance types on Screen 853. Screen 57 – Departmental Encumbrances (cont’d) Screen 57 – Encumbrance Types Pop-up +-----------------------------------------------+ | ** End of List - 2 Type(s) Found ** | | | | Enc | | Type Description | | _ B BENEFITS | | _ W WAGES | | | | | | | | | | | | Select Type or Press to QUIT. | | | +-----------------------------------------------+ Basic Steps • Enter a subsidiary ledger account and support account number in the Account field. • Type a encumbrance type code in the Encumbrance field and press . The appropriate Obj Code, Type, Enc Ref and Date, Current encumbrance fields are displayed automatically. The date in the Date field defaults to the current processing date, but can be changed. • Enter a reason describing the change to the encumbrance, the dollar amount, and either “I” (increase) or “D” (decrease) in the fields provided. If you want to “zero out” the encumbrance, you may leave Amount field blank and type “D” for decrease in the Increase/Decrease field. • Optional fields include: Cost Ref1, Cost Ref2, and Cost Ref3. • Press after all the data has been entered to validate and process the information. Field Descriptions (. = Required; Help = Field Help Available Using PF2, ?, or *) Action Line . Account: 11 digits Enter the Subsidiary Ledger (SL) account + Support Account (SA) number to be encumbered. . Encumbrance: ? Help 1 character Indicate the type of encumbrance. B = Benefits T = Travel W = Wages These values must be defined on Screen 853. Screen 57 – Departmental Encumbrances (cont’d) Screen Information Object Code: 4 digits Displays the original encumbrance object code; automatically filled in by FAMIS. Liquidated: PF2 Help 12 digits Shows the total amount liquidated for encumbered item. Type: 3 digits Automatically displays the encumbrance transaction code, based upon what was entered in the Encumbrance field. Adjustments: 12 digits Displays the adjustments (other than liquidations) made to an encumbrance. Enc Ref: 7 characters/digits The value displayed is based on the type entered in the Encumbrance field. Current: PF2 Help 12 digits Shows the current amount of encumbrance. Date: 8 digits Indicates the date the encumbrance was entered. If blank, it will default to the batch session date. . Description: 31 characters Provide a description of the reason for the change to the encumbrance. Amount: 13 digits Enter the amount of the change to the encumbrance. . Increase/Decrease: 1 character Indicate if the amount is an increase (I) or decrease (D). Cost Ref 1, 2, 3: 8 digits If necessary, provide the appropriate cost reference value defined by your department. This is currently only used by TTI and TAMRF. Additional Functions PF KEYS See the Appendix for explanation of the standard PF keys. PF12 Warnings Warns Displays nonfatal FAMIS warning messages, if any. Support Account Category Maintenance Screen 58 is used to set the Support Account category flags. These flags include the Bottom Line Budget Control/Unprotect Budget Control flag, and the Default Category Control flag. In addition, there is a field provided to enter the Default Category Tolerance Pct (Percent). For additional information, see Screen 54. Screen 58 – Support Account Category Maintenance 058 Support Acct Category Maintenance 09/21/11 09:13 FY 2011 CC 02 Screen: ___ Account: 271300 00000 FMO Support Account Flags Y - Bottom Line Budget Control / Unprotect Budget Control Note: A Budget Control Flag of 'N' does not check Bottom Line and turns off protection of Protected Categories. The 'P' flag on Screen 10D will still display. R - Default Category Control Default Category Tolerance Pct: _______ Enter-PF1---PF2---PF3---PF4---PF5---PF6---PF7---PF8---PF9---PF10--PF11--PF12--- Hmenu Help EHelp Warns Basic Steps • Type “Y” to control the bottom line budget control or “N” for no control. • Include the desired flag code for the default category control and default category tolerance percent. • Press to set the flags. Field Descriptions (. = Required; Help = Field Help Available Using PF2, ?, or *) Action Line . Account: 11 digits Enter the Subsidiary Ledger (SL) account + Support Account (SA) number to be encumbered. Bottom Line PF2 Help 1 character Budget Control / Type “Y” if bottom line budget checks should be made for the account. Unprotect “N” does not check bottom line and turns off protection of protected Budget Control: categories. “P” flag on Screen 10D will still display. Screen 58 – Support Acct Category Maintenance (cont’d) Default Category PF2 Help 1 character Control: Include the desired category control code to instruct the system on whether or not to perform budget checks at the category (pool) level. N = No Budget Control W = Warning if over budget R = Reject if over budget Default Category PF2 Help 5 digits Tolerance Pct: Indicate the percentage the category can go over budget. Negative values are also supported. Additional Functions PF KEYS See the Appendix for explanation of the standard PF keys. PF12 Warnings Warns Displays nonfatal FAMIS warning messages. Payroll Encumbrance Adjustment-Wage Screen 754 is an entry screen used to manually create and adjust encumbrances for wage positions. Wage, wage benefits, and longevity are entered and adjusted on this screen. These encumbrances are automatically adjusted by the payroll posting process to reflect the amounts that have been expensed on the payroll. Encumbering of wages, wage benefits, and longevity and the subsequent payroll reduction of them can be done at the detailed person level, summarized by account, or a combination of the two methods. Departments or workstations may prefer to create a blanket wage encumbrance to cover multiple employees/positions rather than to create individual estimates for each person paid on wages. This screen can be used by departmental personnel or workstation personnel, depending on the needs of the agency. Large departments that have a high percentage of employees paid on wages may especially want to encumber their waged employees’ benefits and/or longevity so that the money to support them will be committed for the year. In order to enter EPA encumbrance adjustments for an account, the user must have encumbrance creation security for the account entered in the Account field. Screen 754 – Payroll Encumbrance Adjustment -Wage 754 Payroll Enc Adjustment-Wage 09/21/11 16:37 FY 2011 CC AB Screen: ___ Account: 430001 00000 PIN: Sxxxxxxxx9 Blanket Enc: Y Thru Month: 8 August Acct Title: TESTING ACCOUNT FOR WAGE ENC Current Occupant: ** No Current Occupant ** UIN/SSN: 9uuuuuuu9 Ref/Doc ID: PPP001_ Increase/Decrease: _ Current Amt Adjustment New Amount ------------ ------------ ------------ Salary: 505287.00 ____________ 505287.00 Benefit: 2000.00 5000.00_____ 7000.00 Longevity: 10.00 480.00______ 490.00 Transactions: 3 Amount: 7,010.00 Batch: 1111AA Date: 09/21/2011 Enter-PF1---PF2---PF3---PF4---PF5---PF6---PF7---PF8---PF9---PF10--PF11--PF12--- Hmenu Help EHelp Post Warns Transactions ARE NOT POSTED until the PF5 is pressed. Screen 754 – Payroll Encumbrance Adjustment-Wage (cont’d) Notes for Adjustments - Wage Process • Departments have the option of encumbering benefits at the SL-SA account level (summary) or for each wage position within the account (detail). • Departments (if authorized) are able to manage encumbrances for wage positions (or blanket wage encumbrances) on Screen 754. • If you want to maintain encumbrances at the PIN level, enter the wage PIN number and the FAMIS account number at the top of the screen. • If you want to encumber benefits at the blanket level, enter a “Y” in the Blanket Enc field. • The format of the assigned “blanket” PIN number is the workstation indicator from Screen 823, followed by nine 9s. • Enter the amount you want to adjust the encumbrance by, and then press PF5 to post the transaction. Transactions ARE NOT POSTED until PF5 is pressed!!! Basic Steps • Enter an 11-digit Support Account in the Account field. • Type the wage PIN number in the PIN field. • Enter a “Y” in the Blanket Enc field if you want to encumber benefits at the blanket level. • Enter a reference/document ID number in the Ref/Doc ID field. • Indicate the type of encumbrance, “I” for increase or “D” for decrease, in the Increase/Decrease field. • Enter the amount of the adjustment(s) in the Adjustment column and press . • If there are no errors and the information displayed is what was intended, press PF5 to post the adjustment. If PF5 key is not pressed, the information will NOT be posted into accounting. Field Descriptions (. = Required; Help = Field Help Available Using PF2, ?, or *) Action Line . Account: 11 digits Enter the subsidiary ledger (SL) and support account (SA) number on which you wish to encumber funds. PIN: 6 characters/digits Enter a Position Identification Number (PIN). Screen 754 – Payroll Encumbrance Adjustment-Wage (cont’d) Blanket Enc: 1 character Entering “Y” will change the PIN to the campus code’s workstation followed by all nines. Thru Month: 2 digits Displays the current processing month. Screen Information Acct Title: 25 characters Shows the name on the account entered on the Action Line. Current Occupant: 25 characters Identifies the name associated with the PIN entered on the Action Line. UIN/SSN: 9 digits If “N” was entered in the Blanket Enc field, enter the employee’s Universal Identification Number or Social Security Number. If “Y” was entered, this field will be filled in automatically by FAMIS. Ref/Doc ID: PF2 Help 7 characters/digits Enter the EPA/Form 500 document identification number. Increase/Decrease: 1 character Type “I” for increase or “D” for decrease. Salary Current Amt: 12 digits Displays the current amount. Adjustment: 12 digits Enter the amount of the increase or decrease for the adjustment. New Amount: 12 digits Shows the new adjusted amount after the increase or decrease. Benefit Current Amt: 12 digits Displays the current amount. Adjustment: 12 digits Enter the amount of the increase or decrease for the adjustment. New Amount: 12 digits Shows the new adjusted amount after the increase or decrease. Longevity Current Amt: 12 digits Displays the current amount. Adjustment: 12 digits Enter the amount of the increase or decrease for the adjustment. Screen 754 – Payroll Encumbrance Adjustment-Wage (cont’d) New Amount: 12 digits Shows the new adjusted amount after the increase or decrease. Transactions: 3 digits Displays the number of transactions processed in this batch. Amount: 14 digits Indicates the total dollar amount of current entries processed in this batch. Batch: 6 characters Identifies the batch header used to process the transactions. Date: 8 characters Shows the date of the batch session. Additional Functions PF KEYS See the Appendix for an explanation of the standard PF keys. PF5 Post Post Used to post the adjustment after verifying information entered. If PF5 is not pressed, information will NOT be posted into accounting. PF12 Warnings Warns Displays any FAMIS warnings. Screen 754 – Payroll Encumbrance Adjustment-Wage (cont’d) Section III Support Account Budget Maintenance Move Support Account Budgets FAMIS allows you to move budget from one Support Account to another Support Account using Screen 53. This function permits departments to manage their SAs without the necessity of the Business Office involvement. This screen is intended for departmental input and cannot be used to make Month 13 entries. Use Screen 10 to create budget transfers between support accounts. Screen 53 will only let you move an account that is less than or equal to the total of the budget transactions entered on that support account, but only to the same pool. Screen 53 - Support Account Budget Move 053 SA Budget Move 09/21/11 16:40 FY 2011 CC 02 Screen: ___ Acct: 300090 From SA: 12000 WOMEN'S BASKETBALL To SA: 11000 WOMEN'S ADMINISTRATION Thru Month: 6 June Ref No 1: _______ 2: _______ 3: _______ 4: _______ Cost Ref1: _______ 2: _______ 3: _______ Page: 1 of 1 Viewed Cat Desc 12000 Budget 11000 Budget Adjust New 11000 Bud ---- ----------------- ------------- ------------- ------------ ------------- 0001 Revenue Pool ____________ 1005 Lump Sum Salaries ____________ 1006 Salary Savings Bu ____________ 1007 ____________ 1000 All Expense Pool 28987.00 20708.90 ____________ Totals: 28987.00 20708.90 ________0.00 Transactions: 0 Amount: 0.00 Batch: 2256LR Date: 09/21/2011 Enter-PF1---PF2---PF3---PF4---PF5---PF6---PF7---PF8---PF9---PF10--PF11--PF12--- Hmenu Help EHelp Post Bkwd Frwd Basic Steps • Type the first six digits of the support account number (the subsidiary ledger account number), the support account from which funds will be moved, and the support account to which funds will be moved in the fields provided. • Enter your departmental reference number in Ref2 field and/or Ref4 field to assist you with tracking the budget move. You can use this number to look up your transaction on Screen 76, Screen 77, Screen 78, and Screen 79. • As necessary, provide the appropriate cost reference value (currently used by TTI and TAMRF only). • Type the dollar amount to be moved from the first support account into the second in the Adjust field. • Press to display the new budget for the second support account. • Press PF5 to post the transaction. Screen 53 – Support Account Budget Move (cont’d) Field Descriptions (. = Required; Help = Field Help Available Using PF2, ?, or *) Action Line . Acct: 6 digits Identify the parent Subsidiary Ledger (SL) account number. . From SA: 5 digits Enter the Support Account (SA) number from which that budget is to be transferred. . To SA: 5 digits Enter the Support Account number into which that budget is to be transferred. . Thru Month: 2 digits Indicate through which month to display account transaction activity. Screen Information . Ref No. 1, 2, 3, 4: 7 characters/digits Identify a user-defined sequence reference number that identifies the budget transaction. Cost Ref1, 2, 3: 7 characters Include the user-defined reference number identifying budget transactions for the selected account. Only used by TTI and TAMRF. Page _ of _ 2 digits Viewed: Shows the number of pages to be viewed. Cat: 4 digits Identifies the budget category pool subcode based on the ABR rule for the account. Desc: PF2 Help 17 characters Displays the description of the budget pool subcode. XXXXX Budget: 13 digits Indicates the current budgeted amount for the budget pool in the first Support Account (whose 5-digit ID number is XXXXX). YYYYY Budget: 13 digits Indicates the current budgeted amount for the budget pool in the second Support Account (whose 5-digit ID number is YYYYY). Adjust: 12 digits Enter the dollar amount to be transferred from the “FROM SA” to the “TO SA” for specified budget pool (category). New YYYYYY Bud: 13 digits Displays the anticipated change for the “TO SA.” Screen 53 – Support Account Budget Move (cont’d) Totals: 12 digits Indicates the total amount of funds to be transferred between the SA accounts. Transactions: 6 digits Identifies the number of transactions for this batch reference. Amount: 13 digits Shows the total of all transactions processed for this batch reference. Batch: 6 characters Indicates the batch reference number associated with the budget transactions posted. Date: 8 digits Displays the date of the batch for the budget transactions. Additional Functions PF KEYS See the Appendix for an explanation of the standard PF keys. PF5 Post Post Used to post the budget move transaction. Support Account Budget Data List Screen 64 provides comparison of historical budget data for a Support Account (SA) online in FAMIS. In addition to Original and Current budget information, comparison displays are also available for Last Year and Next Year. Screen 64 – Support Account Budget Data List 064 Support Account Budget Data List 09/21/11 09:20 FY 2011 CC 02 Screen: ___ Account: 289010 11500 0000 ERGONOMICS Thru Month: 13 13th Month Department: LIBR Resp Person: GILROY, GRANT GES L Flags: D F B C Z G ABR N N N N N 001 Last Year Next Year Obj Description Original Current YTD YTD ---- -------------------- ------------ ------------ ------------ ------------ 1000 All Expense Pool 634 1314- 634 1314- 4010 Supplies - Office Ge 25 204 25 5752 Institut Furn & Equi 11164 8357 628 5760 PC Peripherals/Add O 126 554 * Account Total 634 10000 9749 661- Enter-PF1---PF2---PF3---PF4---PF5---PF6---PF7---PF8---PF9---PF10--PF11--PF12--- Hmenu Help EHelp Basic Steps • Type the desired 15-digit support account number in the Account field • Change the month in the Thru Month field, if desired, and press to display the Support Account budget data list. Field Descriptions (. = Required; Help = Field Help Available Using PF2, ?, or *) Action Line . Account: 15 digits Enter the desired support account number. . Thru Month: 2 digits Indicate through which month to display account transaction activity. Screen Information Department: PF2 Help 4 characters Displays the department code responsible for the account. Resp Person: PF2 Help 20 characters Identifies the name of the responsible person for the account. Screen 64 – Support Account Budget Data List (cont’d) Flags: PF2 Help 1 character/3 digits (ABR flag) Indicates values for flag maintenance. Y = On N = Off R = Reject ------------------- D = Delete F = Freeze B = Bottom Line C = Category Control Z = Freeze direct only G = Generate Expense Budget (GEB) ABR = ABR number rule Obj: PF2 Help 4 digits Displays the object code for the budget line item. Description: PF2 Help 20 characters Shows the description of the object code line item. Original: PF2 Help 12 digits Displays the original budget amount budgeted for the line item. Current: PF2 Help 12 digits Indicates the current budget amount available for line item. Last Year YTD: 12 digits Displays the year-to-date dollar amount budgeted for the previous year. Next Year YTD: 12 digits Identifies the year-to-date dollar amount budgeted for next year. Running Total 12 digits or Account Total: Indicates the total current dollar amount displayed in each column or total amount for the account. Additional Functions PF KEYS See the Appendix for an explanation of the standard PF keys. Screen 64 – Support Account Budget Data List (cont’d) Section IV Support Account Inquiry Transaction Inquiry by Support Account FAMIS lists information about transactions previously entered against the selected account. The transactions are positioned by the Subcode and are found on Screen 63. Screen 63 - Transaction Inquiry by Support Account (Panel 1) 063 Transaction Inquiry by Support Account 09/21/11 09:20 ERGONOMICS FY 2011 CC 02 Screen: ___ Account: 289010 11500 0000 Display Ref: 2 Bank Option: N Sbcd TC Ref 2 Date Description Amount I BatRef Offset Acct ---- --- ------- ----- ------------ --------------- - ------ ----------------- 1000 027 BBF2010 09/01 BUDGET BROUG 633.64 D BBF001 1000 024 10/29 All Expense 9,366.36 4276MC 289010 00000 1000 4010 055 025484A 05/26 A-1 ERGONOMI 25.00 D ZP0526 5752 054 06478AA 09/22 2010-07-12 1 3,592.20 D ZR0922 5752 054 06478AA 09/28 2010-07-12 1 3,592.20- C ZP0928 5752 055 006361A 09/28 A-1 ERGONOMI 3,592.20 D ZP0928 5752 068 1429185 11/15 A-1 ERGONOMI 3,592.20 P PVP968 028906 00000 2100 5752 055 019493A 03/29 A-1 ERGONOMI 4,907.24 D ZP0329 5752 055 020873A 04/12 A-1 ERGONOMI 1,099.88 D ZP0412 5752 055 023559A 05/06 EVCO PARTNER 283.30 D ZP0506 5752 055 023560A 05/06 A-1 ERGONOMI 459.00 D ZP0506 5752 055 025484A 05/24 A-1 ERGONOMI 1,240.74 D ZP0524 5752 055 025484A 05/26 A-1 ERGONOMI 28.00 D ZP0526 5752 068 1510095 06/02 EVCO PARTNER 193.20 P PVP232 028906 00000 2100 * Continued * Enter-PF1---PF2---PF3---PF4---PF5---PF6---PF7---PF8---PF9---PF10--PF11--PF12--- Hmenu Help EHelp View Dload Left Right When you type “Y” in the Bank Option field, the last column heading of Panel 1 displays “Bank” and the bank number is displayed. Screen 63 - Transaction Inquiry by Support Account (Panel 2) 063 Transaction Inquiry by Support Account 09/21/11 09:23 ERGONOMICS FY 2011 CC 02 Screen: ___ Account: 289010 11500 0000 Display Ref: 2 Bank Option: N Sbcd TC Ref 2 Date Description Amount BatRef ---- --- ------- ----- -------------------------------- --------------- ------ 1000 027 BBF2010 09/01 BUDGET BROUGHT FORWARD 633.64 BBF001 1000 024 10/29 All Expense Pool 9,366.36 4276MC 4010 055 025484A 05/26 A-1 ERGONOMIC SEATING 25.00 ZP0526 5752 054 06478AA 09/22 2010-07-12 117009283 01 3,592.20 ZR0922 5752 054 06478AA 09/28 2010-07-12 117009283 01 3,592.20- ZP0928 5752 055 006361A 09/28 A-1 ERGONOMIC SEATING 3,592.20 ZP0928 5752 068 1429185 11/15 A-1 ERGONOMIC SEATING 3,592.20 PVP968 5752 055 019493A 03/29 A-1 ERGONOMIC SEATING 4,907.24 ZP0329 5752 055 020873A 04/12 A-1 ERGONOMIC SEATING 1,099.88 ZP0412 5752 055 023559A 05/06 EVCO PARTNERS LP DBA*BURGOON COM 283.30 ZP0506 5752 055 023560A 05/06 A-1 ERGONOMIC SEATING 459.00 ZP0506 5752 055 025484A 05/24 A-1 ERGONOMIC SEATING 1,240.74 ZP0524 5752 055 025484A 05/26 A-1 ERGONOMIC SEATING 28.00 ZP0526 5752 068 1510095 06/02 EVCO PARTNERS LP DBA*BURGOON COM 193.20 PVP232 * Continued * Enter-PF1---PF2---PF3---PF4---PF5---PF6---PF7---PF8---PF9---PF10--PF11--PF12--- Hmenu Help EHelp View Dload Left Right Screen 63 – Transaction Inquiry by Support Account (cont’d) Screen 63 - Transaction Inquiry by Support Account (PF6) +----------------------------------------------------------------------------+ | | | Display of Detailed Transaction Record | | | | 05/26/2011 : A-1 ERGONOMIC SEATING $25.00 | | | | TransCode: 055 Enc - Purchase Order Dir/Ind: D | | Account: 289010 11500 4010 ERGONOMICS | | Supplies - Office General | | Offset: | | | | PO/Enc/Ref 1: 025484A Cost Ref1: Fiscal Yr: 2011 | | Ref 2: 025484A 2: Proc Month: 09 | | Ref 3: 3: Batch Date: 05/26/2011 | | Ref 4: 2381255 Bank: 06000 Batch Ref: ZP0526 | | Vndr/Card Id: 1vvvvvvvvv1 | | Enc Obj Cd: | | Ovrd Comp Cd: Processed: 05/26/2011 10:25:15 | | Liquidation Amt: 0.00 User Id: FAPNEON | | Oper Id: | | Indirect Base Code: Term Id: STEP01 | | Base Amount: 0.00 Internal Tracking Nbr: 52xxxxx6 | | PF3= Back to 063 PF4= Exit PF6= Indirect Accts PF7= Corrections | +----------------------------------------------------------------------------+ Screen 63 – Indirect Accounts (PF6) +----------------------------------------------------------------------+ | | | Indirect Account Information for Direct Detailed Transaction Record | | | | General Ledger: 028906 LIBRARY USE FEE | | | | Account Amount Account Control Title | | ----------- --------------- ------------------------------------ | | 028906-9620 25.00 Encumb Sum Ledger 2 | | | | PF3= Back to 063 PF4= Exit | +----------------------------------------------------------------------+ Basic Steps • Enter an account number in the Account field and press to view the information. Field Descriptions (. = Required; Help = Field Help Available Using PF2, ?, or *) Action Line . Panel 1 . Account: 15 digits Enter a Subsidiary Ledger + Support Account + Object Code. Display Ref: 1 digit Include the reference number to be displayed. Bank Option: 1 character Type “Y” to display the bank for each transaction. N = Default: Does not display the bank. Screen 63 – Transaction Inquiry by Support Account (cont’d) Screen Information Sbcd: 4 digits Displays the subcode. TC: 3 digits Identifies the transaction code for the type of financial transaction being posted. Ref : 1 digit Designates the reference used for identifying information about posted financial transaction. The number displayed is determined by the entry in the Display Ref field. Ref 1: = PO # Ref 2: = Voucher # Ref 3: = A/P Check # Ref 4: = Departmental Voucher # Date: 4 digits Shows date financial transaction was posted. Description: 12 characters Provides a summary description of the posted transaction. The full description is shown on Panel 2. Amount: 12 digits Gives the dollar amount of the transaction. I: 1 character Shows the transaction indicator as credit (C), debit (D), or encumbrance liquidation (P for Partial or F for Final). BatRef: 6 characters/digits Designates the individual batch reference header where this transaction was entered. Offset Acct: 15 digits Displays the GL account offsetting the dollar amount of the transaction. OR Bank: 5 digits Displays the bank account number if “Y” was entered in the Bank Option field. . Panel 2 (Displays the full Description for the transaction) Additional Functions PF KEYS See the Appendix for explanation of the standard PF keys. PF6 View View View the detailed transaction record. PF9 Download Dload Used to download the information through Entire Connection. SA Summary for SL with Category Totals To find Support Account summary information for a Subsidiary Ledger (SL) account you can view Screen 65. Information is totaled through a specified month. If “PY” or “IN,” the display won't be correct unless the year-end process flag is set to “P” on Screen 6. Screen 65 – SA Summary for SL with Category Totals (Panel 1) 065 SA Summary for SL with Category Totals 09/21/11 09:28 MATERIAL CHARACTERIZATION FACILITY FY 2012 CC 02 Screen: ___ SL Acct: 271050 00000 Fiscal Year: 2012 Thru Month: 9_ September FY/PY/IN to Date: FY Resp Person: SHERWOOD, STAN S Support Acct: 1 of 1 Department: MCF Flags: D F B C Z G ABR Map Code: 27105 N N Y R N 001 Obj Description Budget Actual Encumbrances Available ---- -------------------- ------------ ------------ ------------ ------------ 0001 Revenue Pool 108184- 108184- 0499 Sales - Material 241- 241- 0602 Services - Technical 814- 814- 0609 Services - Chemical 10762- 10762- **** Total Revenue Pool 120000- 11816- 108184- 1005 Lump Sum Salaries 21250 21250 **** Total Lump Sum Salar 21250 21250 1000 All Expense Pool 147056 147056 1105 Salary Encumbrance 14194 14194 ** Press ENTER to continue ** Enter-PF1---PF2---PF3---PF4---PF5---PF6---PF7---PF8---PF9---PF10--PF11--PF12--- Hmenu Help EHelp Left Right Screen 65 – SA Summary for SL with Category Totals (Panel 2) 065 SA Summary for SL with Category Totals 09/21/11 09:29 MATERIAL CHARACTERIZATION FACILITY FY 2012 CC 02 Screen: ___ SL Acct: 271050 00000 Fiscal Year: 2012 Thru Month: 9_ September FY/PY/IN to Date: FY Resp Person: SHERWOOD, STAN S Support Acct: 1 of 1 Department: MCF Flags: D F B C Z G ABR Map Code: 27105 N N Y R N 001 Obj C P Budget CM Actual Actual Encumbrances Available ---- - - ------------- ------------- ------------ -------------- ------------ 0001 108184.12- 108184.12- 0499 240.50- 240.50- 240.50- 0602 813.75- 813.75- 813.75- 0609 10761.63- 10761.63- 10761.63- **** 120000.00- 11815.88- 11815.88- 108184.12- 1005 21250.00 21250.00 **** 21250.00 21250.00 1000 147055.71 147055.71 1105 14194.28 14194.28 ** Press ENTER to continue ** Enter-PF1---PF2---PF3---PF4---PF5---PF6---PF7---PF8---PF9---PF10--PF11--PF12--- Hmenu Help EHelp Left Right Basic Steps • Type an SL account in the fields provided and press to view the information. Screen 65 – SA Summary for SL with Category Totals (cont’d) Field Descriptions (. = Required; Help = Field Help Available Using PF2, ?, or *) Action Line . SL Acct: 11 digits Enter a Subsidiary Ledger + Support Account. Fiscal Year: 4 digits Indicate the current fiscal year. Change to previous fiscal year, if needed. Screen Information . Panel 1 Thru Month: 2 digits Identify through which month the information is to be listed. FY/PY/IN to Date: 2 characters Include the code for determining the data to be displayed. For example: FY = Fiscal Year PY = Project Year IN = Inception of the project to date. If “PY” or “IN”, the display won't be correct unless the year-end process flag is set to “P” on Screen 6. Resp Person: PF2 Help 30 characters Identifies the person responsible for the account. Support Acct: 10 digits Designates the number of support accounts for the SL indicated. ( __ of __ ). Department: PF2 Help 4 characters Shows department responsible for the account. Flags: PF2 Help 1 character/3 digits (ABR flag) Indicates values for flag maintenance. Y = On N = Off R = Reject ------------------- D = Delete F = Freeze B = Bottom Line C = Category Control Z = Freeze direct only G = Generate Expense Budget (GEB) ABR = ABR number rule Map Code: PF2 Help 5 digits The General Ledger map code to which the Subsidiary Ledger is tied. Screen 65 – SA Summary for SL with Category Totals (cont’d) Obj: 4 digits Object codes defining categories where money is expensed or received. Description: PF2 Help 30 characters Provides description of object code. Budget: 12 digits Shows funds budgeted and the allocation of these funds to expenses. Actual: 12 digits Actual dollar amounts spent in object code categories. Encumbrances: 12 digits Gives the dollar amounts encumbered for object code categories. Available: 12 characters Displays available funds (Budgeted amounts minus Actuals and Encumbrances) from revenue and for expenses. . Panel 2 (Displays amounts in dollars and cents) C: PF2 Help 1 character Indicates the type of Category Control in effect. Blank = No Budget Control W = Warning if over budget R = Reject if over budget P: PF2 Help 1 character “P” indicates this budget category is protected from borrowing funds by other budget categories. CM Actual: 12 digits Gives the actual dollar amount for the current month. Additional Functions PF KEYS See the Appendix for explanation of the standard PF keys. Support Account Search FAMIS will list all support accounts by account number, account description, or title and by the person responsible for the account. Screen 68 lists valid Support Accounts as well as their account number, department code, account title, and responsible person. Select an item on this screen to advance to Screen 50 for additional information Screen 68 - Support Account Search 068 Support Account Search 07/25/13 15:57 FY 2013 CC 02 Screen: ___ Account: 271290 83000 0000 Title Search: ____________________ Dept/SDept Search: _____ _____ Resp Person Search: ____________________ Include Deleted Accts: N Sel Description Account Dept SDept Resp. Person R _ MARKETING & COMMUNICATIONS 271330-00000 VPMC CORK, CHARLES C N _ SEC COMMUNICATOR'S CONFERENCE 271330-10000 VPMC CORK, CHARLES C N _ OFFICE OF DATA RESEARCH SERVICE 271340-00000 ODRS MARSH, MOLLIE M N _ EHSD 271350-00000 EHSD ROBERTS, ROGER N _ RADIOACTIVE LICENSE FEES 271350-20001 EHSD ROBERTS, ROGER N _ MOLD/LEAD SAMPLE ANALYSIS 271350-20002 EHSD ROBERTS, ROGER N _ LEAD SAMPLE ANALYSIS 271350-20003 EHSD ROBERTS, ROGER N _ TEXAS AGRILIFE - RESEARCH 271350-20004 EHSD ROBERTS, ROGER N _ LAB SAFETY EQUIPMENT 271350-24646 EHSD ROBERTS, ROGER N _ UNIVERSITY RISK AND COMPLIANCE 271360-00000 MASD CLARK, CHARLEY _ ASSOCIATE VP & CONTROLLER 271370-00000 VPFN3 CRANFORD, CARY _ CONTRACT ADMINISTRATION 271380-00000 CCOM ENSON, ENYA E _ SYSTEM ASSESSMENTS 271400-00000 EXP CRANFORD, CARY _ FAMIS - CIS CHARGES 271410-00000 EXP CRANFORD, CARY *** Press ENTER to View More Accounts *** Enter-PF1---PF2---PF3---PF4---PF5---PF6---PF7---PF8---PF9---PF10--PF11--PF12--- Hmenu Help EHelp Dload Basic Steps • Enter an account number. • Press to view the information. • Type an “X” next to an account, press and FAMIS will display additional detailed information for that account on Screen 50. • Use PF9 to download data using Entire Connection. Download is restricted to 5000 records. Account Search Process Searching by Title If the account number is not known, the user may search by account description or title. The ability to search for accounts by title has been expanded. You may now use a wildcard asterisk (*) in the Title Search field. Be aware that FAMIS is now searching through the Title and the Long Title fields in order to return a list to you for viewing. Screen 68 – Support Account Search (cont’d) For example, typing *pres* in the field may give you the following: ART PRESERVATION 460597-00000 ARTS COLLABOR INITIATIVE AG CAREERS 412084-00000 CITR RES1 DESIGNING LOW BIT RATE SIGNALS 412184-00000 ELEN RES1 EXPRESSION OF RICH GENE 160300-00042 BIOL FURNITURE-PRESIDENT’S RESIDENCE 883003-00000 PHPL You'll notice that you do not see “PRES” in two of the above titles -- that's because you are looking at the Short Title, while the letters PRES are found in the Long Title visible on the account screens, such as Screen 6. Field Descriptions (. = Required; Help = Field Help Available Using PF2, ?, or *) Action Line . Account: 11 digits Enter a Subsidiary Ledger + Support Account number. Title Search: PF2 Help 20 characters Identify the title, or portion of the account title, you wish to search. Dept/SDept 2 fields (5 characters each) Search: Enter the department/subdepartment code for the account you wish to search. Resp Person 20 characters Search: Identify the name, or portion of a name, of the person responsible for the account search. Include Deleted 1 character Accts: Indicate whether or not (“Y” or “N”) to include the deleted accounts. Screen Information Sel: 1 character Type “X” to select a particular support account. FAMIS will display more detail on Screen 50. Description: PF2 Help 31 characters Shows the description or title of the support account. Account: 11 digits Displays the 11-digit support account number (the first six digits being the attached SL account). Dept: PF2 Help 4 characters Shows the code for the department responsible for the account. Screen 68 – Support Account Search (cont’d) SDept: PF2 Help 5 characters Identifies the code for the sub-department responsible for the account. Responsible PF2 Help 18 characters Person: Shows the person responsible for the account. R: PF2 Help 1 character Flag set to “Y” identifies the account as an SRS account. Additional Functions PF KEYS See the Appendix for explanation of the standard PF keys. PF9 Download Dload Used to download the information through Entire Connection. This download is restricted to 5000 records. Support Account List with Category Totals To find information on specific 11-digit accounts (Subsidiary Ledger account number plus Support Account number), you can view Screen 69. Information is totaled through a specified month. If “PY” or “IN”, the display won't be correct unless the year-end process flag is set to “P” on Screen 6. Screen 69 - Support Account List with Category Totals (Panel 1) 069 SA 11 Digit List with Category Totals 09/21/11 09:37 ERGONOMICS FY 2012 CC 02 Screen: ___ Account: 289010 11500 ____ Fiscal Year: 2010 Thru Month: 9_ September FY/PY/IN to Date: FY Zero Balance: N Resp Person: COOK, CAROL C Bottom Line Exclusion: Department: LIBR Flags: D F B C Z G ABR Net Dir BBA: Map Code: 28906 N N N N N 001 Unprotected Available: Obj Description Budget Actual Encumbrances Available ---- -------------------- ------------ ------------ ------------ ------------ 1000 All Expense Pool 8226- 8226- 4090 Computer Parts & Sup 332 332 5650 Freight/Delivery Ser 200 200 5750 Office Furn and Equi 245 245 5752 Institut Furn & Equi 7899 759 7140 5760 PC Peripherals/Add O 1019 373 646 **** Total All Expense Po 1469 1709 7986 8226- **** Total Expenses 1469 1709 7986 8226- Enter-PF1---PF2---PF3---PF4---PF5---PF6---PF7---PF8---PF9---PF10--PF11--PF12--- Hmenu Help EHelp Dload Left Right Screen 69 - Support Account List with Category Totals (Panel 2) 069 SA 11 Digit List with Category Totals 09/21/11 09:40 ERGONOMICS FY 2012 CC 02 Screen: ___ Account: 289010 11500 ____ Fiscal Year: 2010 Thru Month: 9_ September FY/PY/IN to Date: FY Zero Balance: N Resp Person: COOK, CAROL C Bottom Line Exclusion: Department: LIBR Flags: D F B C Z G ABR Net Dir BBA: Map Code: 28906 N N N N N 001 Unprotected Available: Obj C P Budget CM Actual Actual Encumbrances Available ---- - - ------------- ------------- ------------ -------------- ------------- 1000 8225.98- 8225.98- 4090 331.59 331.59 331.59 5650 200.00 200.00 5750 245.20 245.20 245.20 5752 7899.23 759.39 759.39 7139.84 5760 1018.74 373.00 373.00 645.74 **** 1468.78 1709.18 1709.18 7985.58 8225.98- **** 1468.78 1709.18 1709.18 7985.58 8225.98- Enter-PF1---PF2---PF3---PF4---PF5---PF6---PF7---PF8---PF9---PF10--PF11--PF12--- Hmenu Help EHelp Dload Left Right Basic Steps • Type an account number and fiscal year in the fields provided and press to view the information. • Use PF9 to download data using Entire Connection. Screen 69 – Support Account List with Category Totals (cont’d) Field Descriptions (. = Required; Help = Field Help Available Using PF2, ?, or *) Action Line . Account: 15 digits Enter a Subsidiary Ledger + Support Account + Object Code. Fiscal Year: 4 digits Indicate the current fiscal year. Change to previous year, if needed. Screen Information . Panel 1 Thru Month: 2 digits Identify through which month the information is to be listed. FY/PY/IN to Date: 2 characters FY = Fiscal Year PY = Project Year IN = Inception of the project to date. If “PY” or “IN”, the display won’t be correct unless year-end process flag is set to “P” on Screen 6. Zero Balance: 1 character Enter “Y” if zero balances are to be displayed. Resp Person: PF2 Help 30 characters Identifies the name of the person responsible for the account. Bottom Line PF2 Help 12 digits Exclusion: Gives the dollar amount excluded from the total. Department: PF2 Help 4 characters Designates department responsible for the account. Flags: PF2 Help 1 character/3 digits (ABR flag) Indicates values for flag maintenance. Y = On N = Off R = Reject ------------------- D = Delete F = Freeze B = Bottom Line C = Category Control Z = Freeze direct only G = Generate Expense Budget (GEB) ABR = ABR number rule Screen 69 – Support Account List with Category Totals (cont’d) Net Dir BBA: 12 digits Shows the budget balance available attributed to direct expenses. Map Code: 5 digits The General Ledger map code to which the Subsidiary Ledger is tied. Unprotected 12 digits Available: Shows unprotected portion of budget available not under spending restrictions set on Screen 10C. Obj: 4 digits Shows the object codes defining categories where money is expensed or received. Description: PF2 Help 20 characters Provides a description of object code. Budget: 12 digits Shows the amount budgeted and the allocation of these funds to expenses. Actual: 12 digits Displays actual dollar amounts spent in object code categories. Encumbrances: 12 digits Shows the dollar amounts encumbered for object code categories. Available: 12 characters Displays available funds (Budgeted amounts minus Actuals and Encumbrances) from revenue and for expenses. . Panel 2 (Displays amounts in dollars and cents) C: PF2 Help 1 character Indicates the type of category control in effect. R = Reject if over budget W = Warning if over budget Blank = No Budget Control P: PF2 Help 1 character “P” indicates this budget category is protected from borrowing funds by other budget categories. CM Actual: 12 digits Gives the actual dollar amount for current month. Additional Functions PF KEYS See the Appendix for explanation of the standard PF keys. PF9 Download Dload Used to download the information through Entire Connection. Support Account Summary by Budget Pool Screen 74 displays summary data for budget pools at the Support Account (SA) level. Screen 74 - Support Account Summary By Budget Pool (Panel 1) 074 SA Summary By Budget Pool 09/21/11 09:46 LANDSCAPE SERVICES FY 2012 CC 02 Screen: ___ Account: 270060 00000 Fiscal Year: 2011 Thru Month: 9_ September FY/PY/IN to Date: FY Calc CM IDC: N Resp Person: WHITE, WALLIE W Bottom Line Exclusion: Department: LANDS Flags: D F B C Z G ABR Net Dir BBA: Map Code: 27006 N N Y R N 001 Unprotected Available: Obj Description Budget Actual Encumbrances Available ---- -------------------- ------------ ------------ ------------ ------------ 0001 Revenue Pool 2358735- 110148 2468883- **** Total Revenue 2358735- 110148 2468883- 1005 Lump Sum Salaries 1006 Salary Savings Budge 1000 All Expense Pool 2364383 69678 2294705 9470 Unrestricted - Alloc **** Total Expenses 2364383 69678 2294705 * Account Total 5648 110148 69678 174178- Enter-PF1---PF2---PF3---PF4---PF5---PF6---PF7---PF8---PF9---PF10--PF11--PF12--- Hmenu Help EHelp Left Right Screen 74 - Support Account Summary By Budget Pool (Panel 2) 074 SA Summary By Budget Pool 09/21/11 09:47 LANDSCAPE SERVICES FY 2012 CC 02 Screen: ___ Account: 270060 00000 Fiscal Year: 2011 Thru Month: 9_ September FY/PY/IN to Date: FY Calc CM IDC: N Resp Person: WHITE, WALLIE W Bottom Line Exclusion: Department: LANDS Flags: D F B C Z G ABR Net Dir BBA: Map Code: 27006 N N Y R N 001 Unprotected Available: Obj C P Budget CM Actual Actual Encumbrances Available ---- - - ------------- ------------- ------------- ------------- ------------- 0001 2358735.00- 110148.30 110148.30 2468883.30- **** 2358735.00- 110148.30 110148.30 2468883.30- 1005 1006 1000 2364383.00 69678.13 2294704.87 9470 R P **** 2364383.00 69678.13 2294704.87 * Total 5648.00 110148.30 110148.30 69678.13 174178.43- Enter-PF1---PF2---PF3---PF4---PF5---PF6---PF7---PF8---PF9---PF10--PF11--PF12--- Hmenu Help EHelp Left Right Basic Steps • Enter a Subsidiary Ledger account number and Support Account number in the fields provided. • Press to view the information. Screen 74 – Support Account Summary by Budget Pool (cont’d) Field Descriptions (. = Required; Help = Field Help Available Using PF2, ?, or *) Action Line . Account: 11 digits Enter a Subsidiary Ledger + Support Account Object Codes defining categories where money is expensed or received. Fiscal Year: 4 digits Shows the current fiscal year. Change to a previous year, if needed. Screen Information . Panel 1 Thru Month: 2 digits Identify through which month the information is to be listed. FY/PY/IN to Date: 2 characters Include the code for determining the data to be displayed. For example: FY = Fiscal Year PY = Project Year IN = Inception of the project to date. Calc CM IDC: 1 character “Y” will calculate current month indirect cost charges for display only. Actual posting is a batch job run at month end. Resp Person: PF2 Help 30 characters Identifies the person responsible for the account. Bottom Line PF2 Help 12 digits Exclusion: Shows the dollar amount that is excluded from the total. Department: PF2 Help 4 characters Designates the department responsible for the account. Flags: PF2 Help 1 character/3 digits (ABR flag) Indicates values for flag maintenance. Y = On N = Off R = Reject ------------------- D = Delete F = Freeze B = Bottom Line C = Category Control Z = Freeze direct only G = Generate Expense Budget (GEB) ABR = ABR number rule Screen 74 – Support Account Summary by Budget Pool (cont’d) Net Dir BBA: 12 digits Shows the Budget Balance Available attributed to direct expenses. Map Code: 6 digits Indicates the General Ledger map code to which the Subsidiary Ledger is tied. Unprotected 12 digits Available: Displays unprotected portion of budget available that is not under spending restrictions set on Screen 10C. Obj: 4 digits Shows the object code defining category where money is expensed or received. Description: PF2 Help 12 characters Provides description of object code. Budget: 12 digits Indicates funds budgeted and the allocation of these funds to expenses. Actual: 12 digits Gives the actual dollar amount spent in object code categories. Encumbrances: 12 digits Shows amount encumbered for object code categories. Available: 12 digits Displays the available funds (Budgeted amounts minus Actuals and Encumbrances) from revenue and for expenses. Account Total: 12 digits Shows actual dollar amount spent in each category. . Panel 2 (Displays amounts in dollars and cents) C: PF2 Help 1 character Indicates the type of category control in effect. R = Reject if over budget W = Warning if over budget Blank = No Budget Control P: PF2 Help 1 character “P” indicates this budget category is protected from borrowing funds by other budget categories. CM Actual: PF2 Help 12 digits Gives the actual dollar amount for current month. Additional Functions PF KEYS See the Appendix for explanation of the standard PF keys. Transactions for a Month by Ref. 2 or 4 Screen 76 is used to find all of the transactions posted in a given month against a specified Support Account number, beginning at a specific Reference 2 or 4 number. Screen 76 - Transactions for a Month by Ref. 2 or 4 (Panel 1) 076 Transactions for a Month by Reference Number 2 or 4 09/21/11 09:54 NETWORKING FY 2012 CC 02 Screen: ___ Account: 270300 03000 Month: 9_ Search On Ref: 2 Ref Nbr: _______ Display Ref: 2 Bank Option: N Sbcd TC Ref 2 Date Description Amount I BatRef Offset Acct ---- --- ------- ----- ------------------ --------------- - ------ ----------- 5536 068 1523282 09/08 FULLER COM LTD 50,752.98 P INVC02 027030 2100 5521 068 1547139 09/08 ZEOSS INC 25,000.00 P INVC02 027030 2100 3111 068 1600397 09/16 LANCE*LORREN 20.00 F PVP340 027030 2100 3116 068 1600397 09/16 LANCE*LORREN 117.66 F PVP340 027030 2100 3125 068 1600397 09/16 LANCE*LORREN 40.20 F PVP340 027030 2100 3130 068 1600397 09/16 LANCE*LORREN 499.16 F PVP340 027030 2100 3145 068 1600397 09/16 LANCE*LORREN 42.00 F PVP340 027030 2100 3016 068 1601095 09/12 MAURINE M*MOORE 51.94 F PVP332 027030 2100 3111 068 1601183 09/12 EILLEEN E*ELSWORTH 629.80 F PVP332 027030 2100 3125 068 1601183 09/12 EILLEEN E*ELSWORTH 44.64 F PVP332 027030 2100 3130 068 1601183 09/12 EILLEEN E*ELSWORTH 549.92 F PVP332 027030 2100 3145 068 1601183 09/12 EILLEEN E*ELSWORTH 30.00 F PVP332 027030 2100 5215 068 1601183 09/12 EILLEEN E*ELSWORTH 150.00 F PVP332 027030 2100 3016 068 1601224 09/12 MANNIE M*MATTHEWS 261.41 F PVP332 027030 2100 * Continued * Enter-PF1---PF2---PF3---PF4---PF5---PF6---PF7---PF8---PF9---PF10--PF11--PF12--- Hmenu Help EHelp View Left Right When you type “Y” in the Bank Option field, the last column heading of Panel 1 displays “Bank” and the bank number is displayed. Screen 76 - Transactions for a Month by Ref. 2 or 4 (Panel 2) 076 Transactions for a Month by Reference Number 2 or 4 09/21/11 09:56 NETWORKING FY 2012 CC 02 Screen: ___ Account: 270300 03000 Month: 9_ Search On Ref: 2 Ref Nbr: _______ Display Ref: 2 Bank Option: N Sbcd TC Ref 2 Date Description Amount BatRef ---- --- ------- ----- -------------------------------- --------------- ------ 5536 068 1523282 09/08 FULLER COM LTD 50,752.98 INVC02 5521 068 1547139 09/08 ZEOSS INC 25,000.00 INVC02 3111 068 1600397 09/16 LANCE*LORREN 20.00 PVP340 3116 068 1600397 09/16 LANCE*LORREN 117.66 PVP340 3125 068 1600397 09/16 LANCE*LORREN 40.20 PVP340 3130 068 1600397 09/16 LANCE*LORREN 499.16 PVP340 3145 068 1600397 09/16 LANCE*LORREN 42.00 PVP340 3016 068 1601095 09/12 MAURINE M*MOORE 51.94 PVP332 3111 068 1601183 09/12 EILLEEN E*ELSWORTH 629.80 PVP332 3125 068 1601183 09/12 EILLEEN E*ELSWORTH 44.64 PVP332 3130 068 1601183 09/12 EILLEEN E*ELSWORTH 549.92 PVP332 3145 068 1601183 09/12 EILLEEN E*ELSWORTH 30.00 PVP332 5215 068 1601183 09/12 EILLEEN E*ELSWORTH 150.00 PVP332 3016 068 1601224 09/12 MANNIE M*MATTHEWS 261.41 PVP332 * Continued * Enter-PF1---PF2---PF3---PF4---PF5---PF6---PF7---PF8---PF9---PF10--PF11--PF12--- Hmenu Help EHelp View Left Right Basic Steps • Type a Support Account (SA) number and Ref 2 or 4 number for the SA in the fields provided and press to view the information. • Place the cursor on a transaction and press PF6 to view additional details. Screen 76 – Transactions for a Month by Reference 2 or 4 (cont’d) Field Descriptions (. = Required; Help = Field Help Available Using PF2, ?, or *) Action Line . Account: 11 digits Enter a Subsidiary Ledger + Support Account. . Month: 2 digits Designate which month of transactions to display. . Search on Ref: 2 digits Indicate whether to search on reference number 2 or 4. Ref Nbr: 7 digits Enter the user defined reference number/PO number. Screen Information . Panel 1 Display Ref: 1 digit Displays information sorted by user defined reference number. Bank Option: 1 character Type “Y” to display the bank for each transaction. N - Default: Does not display the bank for each transaction. Sbcd: 4 digits Shows a specified subcode transaction record. TC: 3 digits Displays the transaction code designating type of transaction. Ref: 7 characters/digits Shows the reference number providing details about specified transactions. Date: 4 digits Displays the date the batch session was entered. Description: 30 characters Provides a summary description of the transaction item. Amount: 20 digits Shows amount of the total batch transactions. I: 1 character Identifies the transaction indicator as credit (C), debit (D), or encumbrance liquidation (P for Partial or F for Final). BatRef: 7 characters/digits Displays individual batch reference headers. Screen 76 – Transactions for a Month by Reference 2 or 4 (cont’d) Offset Acct: 12 digits Shows offsetting account for direct double-sided transactions. OR Bank: 5 digits Displays the bank account number if “Y” was entered in the Bank Option field. . Panel 2 (Provides a full description of the transaction) Additional Functions PF KEYS See the Appendix for explanation of the standard PF keys. PF6 View View View the Detailed Transaction Record. Screen 76 – Detailed Transaction Record (PF6) +----------------------------------------------------------------------------+ | | | Display of Detailed Transaction Record | | | | 09/12/2011 : MANNIE M*MATTHEWS $51.94 | | | | TransCode: 068 JE - Voucher Dir/Ind: D | | Account: 270300 03000 3016 NETWORKING | | Tvl-In-Mileage | | Offset: 027030 00000 2100 COMPUTING INFORMATION SERVICES | | Accounts Payable | | PO/Enc/Ref 1: E135284 Cost Ref1: Fiscal Yr: 2012 | | Ref 2: 1601095 2: Proc Month: 01 | | Ref 3: 3: Batch Date: 09/12/2011 | | Ref 4: 12042 Bank: 06000 Batch Ref: PVP332 | | Vndr/Card Id: 2vvvvvvvvv1 | | Enc Obj Cd: 3016 | | Ovrd Comp Cd: Processed: 09/12/2011 17:25:57 | | Liquidation Amt: 52.04- User Id: K702FA | | Oper Id: | | Indirect Base Code: Term Id: STEP01 | | Base Amount: 0.00 Internal Tracking Nbr: 61323978 | | PF3= Back to 076 PF4= Exit PF6= Indirect Accts PF7= Corrections | +----------------------------------------------------------------------------+ Screen 76 – Indirect Accounts (PF6) +----------------------------------------------------------------------+ | | | Indirect Account Information for Direct Detailed Transaction Record | | | | General Ledger: 027030 COMPUTING INFORMATION SERVIC | | | | Account Amount Account Control Title | | ----------- --------------- ------------------------------------ | | 027030-3200 261.41 Fund Bal-Designated | | 027030-9620 261.41- Encumb Sum Ledger 2 | | 027030-9520 261.41 Expense Sum Ledger 2 | | | | PF3= Back to 076 PF4= Exit | +----------------------------------------------------------------------+ Transaction Inquiry on Ref. Number 2 or 4 You can find transactions based on the value of the Reference Number 2 or 4 (usually a voucher number). Screen 77 is the screen to use for this task. Screen 77 - Transaction Inquiry on Ref. Number 2 or 4 (Panel 1) 077 Transaction Inquiry on Reference Number 2 or 4 09/21/11 10:13 NETWORKING FY 2012 CC 02 Screen: ___ Account: 270300 03000 Search on Ref: 2 Ref Nbr: 1600397 Display Ref: 2 Bank Option: N Sbcd TC Ref 2 Date Description Amount I BatRef Offset Acct ---- --- ------- ----- ------------------ --------------- - ------ ----------- 3111 068 1600397 09/16 LANCE*LORREN 20.00 F PVP340 027030 2100 3116 068 1600397 09/16 LANCE*LORREN 117.66 F PVP340 027030 2100 3125 068 1600397 09/16 LANCE*LORREN 40.20 F PVP340 027030 2100 3130 068 1600397 09/16 LANCE*LORREN 499.16 F PVP340 027030 2100 3145 068 1600397 09/16 LANCE*LORREN 42.00 F PVP340 027030 2100 * End of Data * Enter-PF1---PF2---PF3---PF4---PF5---PF6---PF7---PF8---PF9---PF10--PF11--PF12--- Hmenu Help EHelp View Left Right When you type “Y” in the Bank Option field, the last column heading of Panel 1 displays “Bank” and the bank number is displayed. Screen 77 - Transaction Inquiry on Ref. Number 2 or 4 (Panel 2) 077 Transaction Inquiry on Reference Number 2 or 4 09/21/11 10:14 NETWORKING FY 2012 CC 02 Screen: ___ Account: 270300 03000 Search on Ref: 2 Ref Nbr: 1600397 Display Ref: 2 Bank Option: N Sbcd TC Ref 2 Date Description Amount BatRef ---- --- ------- ----- -------------------------------- --------------- ------ 3111 068 1600397 09/16 LANCE*LORREN 20.00 PVP340 3116 068 1600397 09/16 LANCE*LORREN 117.66 PVP340 3125 068 1600397 09/16 LANCE*LORREN 40.20 PVP340 3130 068 1600397 09/16 LANCE*LORREN 499.16 PVP340 3145 068 1600397 09/16 LANCE*LORREN 42.00 PVP340 * End of Data * Enter-PF1---PF2---PF3---PF4---PF5---PF6---PF7---PF8---PF9---PF10--PF11--PF12--- Hmenu Help EHelp View Left Right Screen 77 – Transaction Inquiry on Reference Number 2 or 4 (cont’d) With the bank option set to Y: Screen 77 - Transaction Inquiry on Ref. Number 2 or 4 077 Transaction Inquiry on Reference Number 2 or 4 09/21/11 10:17 NETWORKING FY 2012 CC 02 Screen: ___ Account: 270300 03000 Search on Ref: 2 Ref Nbr: 1600397 Display Ref: 2 Bank Option: Y Sbcd TC Ref 2 Date Description Amount I BatRef Bank ---- --- ------- ----- ------------------ --------------- - ------ ----------- 3111 068 1600397 09/16 LANCE*LORREN 20.00 F PVP340 06000 3116 068 1600397 09/16 LANCE*LORREN 117.66 F PVP340 06000 3125 068 1600397 09/16 LANCE*LORREN 40.20 F PVP340 06000 3130 068 1600397 09/16 LANCE*LORREN 499.16 F PVP340 06000 3145 068 1600397 09/16 LANCE*LORREN 42.00 F PVP340 06000 Bank Option = Y * End of Data * Enter-PF1---PF2---PF3---PF4---PF5---PF6---PF7---PF8---PF9---PF10--PF11--PF12--- Hmenu Help EHelp View Left Right Screen 77 - Transaction Inquiry on Ref. Number 2 or 4 (PF6 View) +----------------------------------------------------------------------------+ | | | Display of Detailed Transaction Record | | | | 09/16/2011 : LANCE*LORREN $499.16 | | | | TransCode: 068 JE - Voucher Dir/Ind: D | | Account: 270300 03000 3130 NETWORKING | | Tvl-Out-Meals & Lodging | | Offset: 027030 00000 2100 COMPUTING INFORMATION SERVICES | | Accounts Payable | | PO/Enc/Ref 1: E134435 Cost Ref1: Fiscal Yr: 2012 | | Ref 2: 1600397 2: Proc Month: 01 | | Ref 3: 3: Batch Date: 09/16/2011 | | Ref 4: 12011 Bank: 06000 Batch Ref: PVP340 | | Vndr/Card Id: 2vvvvvvvvv0 | | Enc Obj Cd: 3130 | | Ovrd Comp Cd: Processed: 09/16/2011 17:26:00 | | Liquidation Amt: 499.16- User Id: K702FA | | Oper Id: | | Indirect Base Code: Term Id: STEP01 | | Base Amount: 0.00 Internal Tracking Nbr: 6xxxxxx3 | | PF3= Back to 077 PF4= Exit PF6= Indirect Accts PF7= Corrections | +----------------------------------------------------------------------------+ Screen 77 – Indirect Accounts (PF6) +----------------------------------------------------------------------+ | | | Indirect Account Information for Direct Detailed Transaction Record | | | | General Ledger: 027030 COMPUTING INFORMATION SERVIC | | | | Account Amount Account Control Title | | ----------- --------------- ------------------------------------ | | 027030-3200 499.16 Fund Bal-Designated | | 027030-9620 499.16- Encumb Sum Ledger 2 | | 027030-9520 499.16 Expense Sum Ledger 2 | | | | PF3= Back to 077 PF4= Exit | +----------------------------------------------------------------------+ Screen 77 – Transaction Inquiry on Reference Number 2 or 4 (cont’d) Basic Steps • Enter an SL account number and SA number in the fields provided. • Fill in the Search on Ref and Ref Nbr fields and press to view the information. Field Descriptions (. = Required; Help = Field Help Available Using PF2, ?, or *) Action Line . Account: 11 digits Enter a Subsidiary Ledger + Support Account requiring transaction. . Search on Ref: 1 digit Indicates whether to search on reference 2 or 4. . Ref Nbr: 7 characters/digits Enter the user defined reference number/PO number. Display Ref: 1 digit Indicate the reference number to be used for the display. Bank Option: 1 character Indicates whether or not (“Y” or “N”) to display the bank for each transaction. N - Default: Does not display the bank for each transaction. Screen Information Sbcd: 4 digits Designates a specified subcode. TC: 3 digits Displays the transaction code designating type of transaction. Ref: 7 characters/digits Shows the reference number providing details about specified transactions. Usually, Ref 2 is a voucher number. Date: 4 digits Displays date the batch session was entered. Description: 20 characters Provides a description of the object code. Amount: 12 digits Gives the dollar amount of the transaction. I: 1 character Shows the transaction indicator as credit (C), debit (D), or encumbrance liquidation (P for Partial or F for Final). Screen 77 – Transaction Inquiry on Reference Number 2 or 4 (cont’d) BatRef: 6 characters/digits Indicates the batch reference header where this transaction was entered. Offset Acct: 10 digits Indicates the offsetting account for direct double-sided transactions. - OR – Bank: 5 digits Displays the bank number if “Y” was entered in the Bank Option field. Additional Functions PF KEYS See the Appendix for explanation of the standard PF keys. PF6 View View View detailed transaction record. Transactions by Account/Subcode/Month FAMIS will allow you to locate transactions posted against a Support Account in a given month by specifying a month, an account number, and a subcode. This information is available on Screen 78. Screen 78 – Transactions by Account/Subcode/Month (Panel 1) 078 Transaction Inquiry by Account/Subcode/Month 09/21/11 10:27 HELP DESK FY 2011 CC 02 Screen: ___ Account: 270300 06000 4010 Month: 6_ Display Ref: 2 Bank Option: N Ref: _______ Sbcd TC Ref 2 Date Description Amount I BatRef Offset Acct ---- --- ------- ----- ------------------ --------------- - ------ ----------- 4010 055 027031A 06/06 TODAY'S BUSINESS S 180.08 D ZP0606 4010 068 1512367 06/08 TODAY'S BUSINESS S 22.16 P PVP240 027030 2100 4010 068 1514674 06/14 TODAY'S BUSINESS S 157.92 P PVP248 027030 2100 * End of Data for June * Enter-PF1---PF2---PF3---PF4---PF5---PF6---PF7---PF8---PF9---PF10--PF11--PF12--- Hmenu Help EHelp View Left Right When you type “Y” in the Bank Option field, the last column heading of Panel 1 displays “Bank” and the bank number is displayed. Screen 78 - Transactions by Account/Subcode/Month (Panel 2) 078 Transaction Inquiry by Account/Subcode/Month 09/21/11 10:29 HELP DESK FY 2011 CC 02 Screen: ___ Account: 270300 06000 4010 Month: 6_ Display Ref: 2 Bank Option: N Sbcd TC Ref 2 Date Description Amount BatRef ---- --- ------- ----- -------------------------------- --------------- ------ 4010 055 027031A 06/06 TODAY'S BUSINESS SOLUTIONS LLC 180.08 ZP0606 4010 068 1512367 06/08 TODAY'S BUSINESS SOLUTIONS LLC 22.16 PVP240 4010 068 1514674 06/14 TODAY'S BUSINESS SOLUTIONS LLC 157.92 PVP248 * End of Data for June * Enter-PF1---PF2---PF3---PF4---PF5---PF6---PF7---PF8---PF9---PF10--PF11--PF12--- Hmenu Help EHelp View Left Right Screen 78 – Transactions by Account/Subcode/Month (cont’d) Basic Steps • Type a Subsidiary Ledger account number and object code in the fields provided and press to view the information. • Place the cursor on a transaction and press PF6 to view the Detailed Transaction Record. Field Descriptions (. = Required; Help = Field Help Available Using PF2, ?, or *) Action Line . Account: 15 digits Enter a Subsidiary Ledger account number. Month: 2 digits Designate the month of transactions to be displayed. Display Ref: 1 digit Enter the desired user defined reference number to display information sorted by reference number. Bank Option: 1 character Type “Y” to display the bank for each transaction. N - Default: Does not display the bank for each transaction. Ref: 7 characters/digits Include a user-defined reference number/PO number to place it at the top of the list displayed. Screen Information Sbcd: 4 digits Designates the specified subcode. TC: 3 characters Displays the Transaction Code designating type of transaction. Ref: 7 characters/digits Shows the reference number/PO number providing details about specified transactions. Usually, Ref 2 is a voucher number. Date: 4 digits Displays the date the batch session was entered. Description: 20 characters Provides a description of the object code. Amount: 12 digits Shows the dollar amount of the transaction. Screen 78 – Transactions by Account/Subcode/Month (cont’d) I: 1 character Shows the transaction indicator as credit (C), debit (D), or encumbrance liquidation (P for Partial or F for Final). BatRef: 6 characters/digits Provides the individual batch reference header where this transaction was entered. Offset Acct: 10 digits Indicates the offsetting account number for direct double-sided transactions. --OR-- Bank: 5 digits Displays the bank account number if “Y” was entered in the Bank Option field. Additional Functions PF KEYS See the Appendix for explanation of the standard PF keys. PF6 View View View Detailed Transaction Record. Screen 78 – Detailed Transaction Record (PF6) +----------------------------------------------------------------------------+ | | | Display of Detailed Transaction Record | | | | 06/08/2011 : TODAY'S BUSINESS SOLUTIONS LLC $22.16 | | | | TransCode: 068 JE - Voucher Dir/Ind: D | | Account: 270300 06000 4010 HELP DESK | | Supplies - Office General | | Offset: 027030 00000 2100 COMPUTING INFORMATION SERVICES | | Accounts Payable | | PO/Enc/Ref 1: 027031A Cost Ref1: Fiscal Yr: 2011 | | Ref 2: 1512367 2: Proc Month: 10 | | Ref 3: 3: Batch Date: 06/08/2011 | | Ref 4: 2629928 Bank: 06000 Batch Ref: PVP240 | | Vndr/Card Id: 1vvvvvvvvv1 | | Enc Obj Cd: 4010 | | Ovrd Comp Cd: Processed: 06/08/2011 17:26:48 | | Liquidation Amt: 22.16- User Id: K702FA | | Oper Id: | | Indirect Base Code: Term Id: STEP01 | | Base Amount: 0.00 Internal Tracking Nbr: 53548298 | | PF3= Back to 078 PF4= Exit PF6= Indirect Accts PF7= Corrections | +----------------------------------------------------------------------------+ Screen 78 – Indirect Accounts (PF6) +----------------------------------------------------------------------+ | | | Indirect Account Information for Direct Detailed Transaction Record | | | | General Ledger: 027030 COMPUTING INFORMATION SERVIC | | | | Account Amount Account Control Title | | ----------- --------------- ------------------------------------ | | 027030-3200 22.16 Fund Bal-Designated | | 027030-9620 22.16- Encumb Sum Ledger 2 | | 027030-9520 22.16 Expense Sum Ledger 2 | | | | PF3= Back to 078 PF4= Exit | +----------------------------------------------------------------------+ SA Detail Account Statement for a Month You can locate transactions against an account in a given month by using Screen 79. The information and column headings on this screen will change depending on the reference number entered in the Ref field. Screen 79 - SA Detail Account Statement For A Month (Panel 1) 79 SA Detail Account Statement For A Month 09/21/11 10:33 HELP DESK FY 2011 CC 02 Screen: ___ Account: 270300 06000 Month: 10 Ref: 4 Rev/Exp: E Page 1__ of 1 Sales or Date Description Ref 4 Budget Expenses Encumbrances ----- ------------------- ------- -------------- -------------- -------------- 10/01 BALANCE FORWARD 10/21 XIA*YIN 11179 985.38 10/07 MAC RESOURCE COMPUT 11109 965.00 10/28 STORES 124.13 10/26 MAC RESOURCE COMPUT 11109 965.00 965.00- 10/31 Ending Balance 2,074.51- Account Expense Tot 1,089.13 985.38 * End of data for October * Enter-PF1---PF2---PF3---PF4---PF5---PF6---PF7---PF8---PF9---PF10--PF11--PF12--- Hmenu Help EHelp Bkwd Fwrd Print Left Right The Reference number entered in the Ref field will determine what is displayed in the “Ref” column. Screen 79 - SA Detail Account Statement For A Month (Panel 2) 79 SA Detail Account Statement For A Month 09/21/11 10:34 HELP DESK FY 2011 CC 02 Screen: ___ Account: 270300 06000 Month: 10 Ref: 4 Rev/Exp: E Page 1__ of 1 P Offset Date Description Ref1 Ref2 Ref4 F Account ----- ------------------------------ ------- ------- ------ - --------------- 10/01 BALANCE FORWARD 0.00 10/21 XIA*YIN E104872 E104872 11179 10/07 MAC RESOURCE COMPUTER & SERVIC L105367 L105367 11109 10/28 STORES S066866 270260-0523 CR 10/26 MAC RESOURCE COMPUTER & SERVIC L105367 1419664 11109 F 027030-2100 CR 10/31 Ending Balance 2,074.51- Account Expense Totals * End of data for October * Enter-PF1---PF2---PF3---PF4---PF5---PF6---PF7---PF8---PF9---PF10--PF11--PF12--- Hmenu Help EHelp Bkwd Fwrd Print Left Right Basic Steps • Type a Subsidiary Ledger account number and Support Account number in the fields provided. Provide additional information as desired. • Press to view the information. Screen 79 – SA Detail Account Statement for a Month (cont’d) Field Descriptions (. = Required; Help = Field Help Available Using PF2, ?, or *) Action Line . Account: 11 digits Enter a Subsidiary Ledger account number + Support Account number. . Month: 2 digits Designate the month of transactions to be displayed. . Ref: 1 digit Enter the desired user-defined reference number to be displayed. Rev/Exp: 1 character Indicate whether revenue or expense transactions for the month should be listed. Page _of _: 3 digits Indicate which page of the report is to be displayed. Screen Information . Panel 1 Date: 4 digits Shows the date of the transaction. Description: 20 characters Provides a description of the transaction. Ref _: 7 characters/digits Shows user defined reference number for the transaction. The display is determined by the number entered in the Ref field. Budget: 15 digits Identifies the funds budgeted and the allocation of these funds to expenses. Sales or Expenses: 15 digits Displays the dollar amount of the transaction as sales or an expense. Encumbrances: 15 digits Shows dollar amount of the encumbrance. . Panel 2 Ref 1: 7 characters/digits Displays user-defined Reference 1 for the transaction. Ref 2: 7 characters/digits Shows user-defined Reference 2 for the transaction. Ref 4: 7 digits Displays user-defined Reference 4 for the transaction. Screen 79 – SA Detail Account Statement for a Month (cont’d) P/F: 1 character Indicates partial (P) or full (F) encumbrance. Offset Account: 15 digits Indicates the account number receiving offsetting credit or debit. Additional Functions PF KEYS See the Appendix for explanation of the standard PF keys. PF9 Print Print Print the information using Entire Connection. Section V Departmental Profile Functions Departmental Profiles Menus The following menus show the list of screens that pertain to departmental accounting profiles in FAMIS. On the accounting side (FRS), the menu is M07. FRS Menu M07 - Departmental Planning Budgets Menu M07 Departmental Planning Budgets 09/21/11 10:38 FY 2011 CC 02 Screen: ___ Account: ______ ____ 715 Dept Defined Profile Maintenance *---------------- SL Accounts -------------------* 720 SL Dept Defined Budget Pool Maintenance 721 SL Summary by Target Budget 722 SL Budget Summary by User Defined Categories *---------------- SA Accounts -------------------* 730 SA Dept Defined Budget Pool Maintenance 731 SA Summary by Target Budget 732 SA Budget Summary by User Defined Categories Enter-PF1---PF2---PF3---PF4---PF5---PF6---PF7---PF8---PF9---PF10--PF11--PF12--- Hmenu Help EHelp In the Sponsored Research (SPR) module, the menu is M12. SPR Menu M12 – SPR Project Inquiry Menu M12 SPR Project Inquiry Menu 09/21/11 10:41 FY 2012 CC 02 Screen: ___ Project Inquiry Screens --- General Project and Award Data --- ----- Accounting Data ------------ 140 Awards for a Project 150 Project Summary By Budget Pool 141 Project High Level Summary 151 Project Indirect Cost Assessed 142 Projects for a Researcher 152 Account Summary for a Project 143 Project Due/Over Report Tracking 153 Revenue for a Project 144 Parent Project Inquiry 154 Accounts for a Project 145 Project Browse by Keyword 155 User Defined Categories 146 Projects for a Sponsor 156 Project Summ by Target Budget 147 Awards for a Researcher 157 Project Summ by User Category 148 Awards for a Sponsor 158 Project Summ by Acct/Budget Pool --- Departmental Planning Budgets -- 159 Dept Defined Profile Inquiry 160 Proj Dept Defined Budget Pool 161 Project Summ by Target Budget 162 Project Summ by User Category Enter-PF1---PF2---PF3---PF4---PF5---PF6---PF7---PF8---PF9---PF10--PF11--PF12--- Hmenu Help EHelp Next Departmental Accounting Profiles: Basic Concepts Departmental accounting profiles are tools designed to allow you to look at your FAMIS accounts the way YOU want to see them. You can define the way the transactions are grouped together, and you can do this without involving the central fiscal office. Each profile consists of a set of categories. The profile is unique because you control the naming of your categories and what object codes you want to group into each of your categories. The profile you define is saved, so it can be used over and over again. You may create many different profiles, using them to see transactions in different ways. Define Departmental Profiles: A Scenario All of the profile screens displayed in this section will be covered in greater detail in later sections. To find more information on the inquiry screens shown, see the Financial Accounting User’s Manual. How does my account look in FAMIS and why does it look that way? The fiscal office sets up your accounts in FAMIS. Each account is assigned an ABR rule (Automatic Budget Reallocation). Your account’s ABR rule may be seen on Screen 34, which defines the budget pools considered part of the official accounting records of your institution. Budgets are posted to your account based on the pools of the ABR rule associated with the account. These budgets, as controlled in the fiscal office, may be viewed on many FAMIS screens, such as Screen 19 and Screen 34. Screen 34 – SL Summary By Budget Pool (Panel 1) 034 SL Summary By Budget Pool 09/21/11 10:43 STUDENT FINANCIAL AID FY 2012 CC 02 Screen: ___ Account: 210500 Fiscal Year: 2012 Thru Month: 9_ September FY/PY/IN to Date: FY Calc CM IDC: N Resp Person: FAUST, FRED F Bottom Line Exclusion: Department: SFAOP Flags: D F B C Z G ABR Net Dir BBA: Map Code: 21050 N N Y R N 001 Unprotected Available: Obj Description Budget Actual Encumbrances Available ---- -------------------- ------------ ------------ ------------ ------------ 0001 Revenue Pool **** Total Revenue 1005 Lump Sum Salaries 16204 16204 1006 Salary Savings Budge 1000 All Expense Pool 1065638 1539 1004888 59211 9470 Unrestricted - Alloc 29000 29000 **** Total Expenses 1110842 1539 1004888 104415 * Account Total 1110842 1539 1004888 104415 Enter-PF1---PF2---PF3---PF4---PF5---PF6---PF7---PF8---PF9---PF10--PF11--PF12--- Hmenu Help EHelp Left Right Departmental Accounting Profiles: Basic Concepts (cont’d) ABR rules and their budget pools may be viewed on Screen 804. In ABR rule 001 below, three budget pools have been assigned: Revenue Pool Pool Object Code 0001 Object Codes from 0005 to 0999 All Expense Pool Pool Object Code 1000 Object Codes from 1011 to 8999 Indirect Cost Pool Pool Object Code 9600 Object Codes from 9600 to 9699 Screen 804 – Maintain Automatic Budget Reallocation Rules 804 Maintain Automatic Budget Reallocation Rules 09/21/11 10:44 FY 2012 CC 02 Screen: ___ Rule: 001 F Pool Low High Act Messages F Pool Low High Act Messages _ 0001 0001 0999 _ _ ____ ____ ____ _ _ 1005 1005 1005 _ _ ____ ____ ____ _ _ 1006 1006 1006 _ _ ____ ____ ____ _ _ 1000 1008 9699 _ _ ____ ____ ____ _ _ ____ ____ ____ _ _ ____ ____ ____ _ _ ____ ____ ____ _ _ ____ ____ ____ _ _ ____ ____ ____ _ _ ____ ____ ____ _ _ ____ ____ ____ _ _ ____ ____ ____ _ _ ____ ____ ____ _ _ ____ ____ ____ _ _ ____ ____ ____ _ _ ____ ____ ____ _ _ ____ ____ ____ _ _ ____ ____ ____ _ _ ____ ____ ____ _ _ ____ ____ ____ _ _ ____ ____ ____ _ _ ____ ____ ____ _ _ ____ ____ ____ _ _ ____ ____ ____ _ _ ____ ____ ____ _ _ ____ ____ ____ _ ********************** End of Data *********************** Enter-PF1---PF2---PF3---PF4---PF5---PF6---PF7---PF8---PF9---PF10--PF11--PF12--- Hmenu Help EHelp This means any income transaction posted with an object code within the range of 0005 to 0999 (i.e. 0292 - Private Gifts) will reduce the estimated income that has been posted to the pool object code of 0001. Likewise, any expenditure transaction posted with an object code within the range of 1001 to 8999 (i.e. 3310 - Foreign Travel) will reduce the expense budget that has been posted to the pool object code of 1000. How can I group my account transactions into different categories? The ABR budget pools, as seen on Screen 34 (previous page), are very broad and may not summarize data at meaningful levels for all departments. For example: Your department receives income for providing sales and services. This income from sales and services must be tracked separately from all the other income that you bring into your account. However, the FAMIS ABR rule lumps all income together, so you have to use another method, perhaps creating an EXCEL spreadsheet and re-keying all of the FAMIS transactions, in order to separate and report the different types of income. Now, using the FAMIS departmental accounting profiles, you can define your view of the transactions using Screen 715. (For a detailed explanation of how to use Screen 715, see the Profile Maintenance section of this manual.) Departmental Accounting Profiles: Basic Concepts (cont’d) Step 1 - Define the Profile Screen 715 - Department Defined Profile Maintenance 715 Dept Defined Profile Maintenance 09/21/11 08:55 FY 2011 CC AA Screen: ___ Profile Dept: MISP_ Profile Name: PROFILE1__ Profile Long Name: Profile Number 1___________________ F Category Description Low High Message _ General Revenue_____ 0001 0499 _ Sales & Services____ 0500 0999 _ Salaries____________ 1000 1999 _ Travel - In State___ 2000 2999 _ Travel - Other______ 3000 3999 _ Office Supplies_____ 4000 4999 _ Other Expenses______ 5000 8999 _ Indirect Cost_______ 9000 9999 _ ____________________ ____ ____ _ ____________________ ____ ____ _ ____________________ ____ ____ _ ____________________ ____ ____ _ ____________________ ____ ____ ****** End of List ****** Enter-PF1---PF2---PF3---PF4---PF5---PF6---PF7---PF8---PF9---PF10--PF11--PF12--- Hmenu Help EHelp Each profile is defined by a department and with a unique name; the profile above belongs to the department “MISP” and is named “PROFILE1.” Profile search and select is available for all profiles within a particular department. If you do not know the name of the profile, enter an asterisk (*) in either the Profile Dept field or the Profile Name field and press to access a pop-up window. Enter the department code in the Search field and press to display a list of profiles for the department. Type an “X” to the left of the desired profile and press to select the profile. In PROFILE1, the account revenues are divided into two groups: General Revenue and Sales & Services Revenue. When you link this profile to an account, you will be able to see the actual transactions grouped according to these two categories. Similarly, the expenses are broken out to reflect two types of travel: In State and Other. The category Office Supplies has also been created so that expenditures on office supplies may be viewed separately from all other expenses. Every object code should fit into one of the categories. Order is also important. A transaction will be lumped into the first category that its object code “fits.” Categories may include more than one object code range. Departmental Accounting Profiles: Basic Concepts (cont’d) Step 2 - Tie Each Account to a Profile As a time saver, you can attach a profile to each of your accounts. When you do this, the profile view screens (Screen 721, Screen 722, Screen 731, and Screen 733) will show your account detailed at the categories defined by the attached profile without the need for you to key the profile department and name each time. For account 339999, associated with “Profile1,” the entire FAMIS ABR budget posted by the fiscal office appears in either the FY Unallocated Revenue or FY Unallocated Expense fields (see below). Screen 720 - SL (6 Digit) Dept Defined Budget Maintenance 720 SL (6 Digit) Dept Defined Budget Maintenance 09/21/11 16:24 MISP FY 2012 CC AA Screen: ___ Account: 339999 Fiscal Year: 2012 Profile Dept: MISP_ Name: PROFILE1__ Profile Number 1 FY Unallocated Revenue: 600000.00 FY Unallocated Expense: 520438.65 Category Description FY Budget General Revenue _____________ Sales & Services _____________ Salaries _____________ Travel - In State ____100000.00 Travel - Other _____________ Office Supplies _____________ Other Expenses _____________ Indirect Cost _____________ ****** End of List ****** Enter-PF1---PF2---PF3---PF4---PF5---PF6---PF7---PF8---PF9---PF10--PF11--PF12--- Hmenu Help EHelp Again, you are not required to attach profiles to your accounts. This is merely a convenience. The bottom portion of the screen shows the categories, as defined by the attached profile. The lines under the FY Budget heading will be used for target budgets, as explained in the next scenario. Departmental Accounting Profiles: Basic Concepts (cont’d) Step 3 - Look at Your Account Transactions by Profile You may view the transactions posted to your account by their user defined categories using either Screen 722, for Subsidiary Ledger (SL) Accounts, or Screen 732, for Support Accounts. Screen 722 – SL (6 Digit) Summary by User Defined Categories 722 SL (6 Digit) Summary by User Defined Categories 09/21/11 16:29 MISP FY 2012 CC AA Screen: ___ Account: 339999 Budget FY: 2012 Thru Month: 2_ February FY/PY/IN to Date: FY Profile Dept: MISP_ Name: PROFILE1__ Department: MISP Resp Person: DREW, DAVID D Flags: D F D B R Map Code: 33333 N N N Y 001 Category Description Budget Actual Encumbrances Available ------------------------- ------------ ------------ ------------ ------------- General Revenue 599900- 599900- Sales & Services 100- 100- ** Total Revenue ** 600000- 100- 599900- Salaries 299027 299027 Travel - Other 299 299 Office Supplies 21113 174 20939 Indirect Cost 300000 300000 ** Total Expenses ** 620439 473 619965 Enter-PF1---PF2---PF3---PF4---PF5---PF6---PF7---PF8---PF9---PF10--PF11--PF12--- Hmenu Help EHelp Print Left Right Now, you can see the Sales/Service Revenue separate from the remaining income. Because FAMIS is online and real time, when you access the inquiry screens, you will see the transactions that have actually posted to your account up to that point in time. Should you choose to look at your account using a different profile, you simply change the profile department and/or profile name and press . The data on the screen will then reflect the groupings of the new profile. Profiles may be used across departments since you can link any department’s profile to your account. Only the department that owns the profile can update the profile categories (Screen 715). Users of ENTIRE CONNECTION may also print this view of the account by pressing PF9. For information about ENTIRE CONNECTION, consult the ENTIRE CONNECTION User Manual or contact the FAMIS Hotline at (979) 458-6464. Departmental Accounting Profiles: Basic Concepts (cont’d) Assign Target Budgets: A Scenario The previous scenario demonstrated how you can use FAMIS to define a department budget profile to track actual FAMIS transactions using online screens. Departmental profiles may also be used to ask “what if I want to change my view of the budget dollar amounts.....?” For example: Your boss asks you to find out how much is left of the department’s internal In-State Travel budget of $100,000.00. Unfortunately, the All Expense Budget pool defined by the ABR rule on the account is all you have. The FAMIS ABR rule lumps all expenses together, so you have to use another method, perhaps even creating an EXCEL spreadsheet and re-keying all of the FAMIS transactions in order to separate and report the different types of expenses. However, by using Screen 720, you may create “target budgets” for the profile categories. This can be especially useful at budget planning time and again when the new year is open. You can track how your actuals match up with the target budgets. Step 1 - Assign the Target Budget on Screen 720 Screen 720 - SL (6 Digit) Dept Defined Budget Maintenance 720 SL (6 Digit) Dept Defined Budget Maintenance 09/21/11 16:24 MISP FY 2012 CC AA Screen: ___ Account: 339999 Fiscal Year: 2012 Profile Dept: MISP_ Name: PROFILE1__ Test Profile Number 1 FY Unallocated Revenue: 600000.00 FY Unallocated Expense: 520438.65 Category Description FY Budget General Revenue _____________ Sales & Services _____________ Salaries _____________ Travel - In State ____100000.00 Travel - Other _____________ Office Supplies _____________ Other Expenses _____________ Indirect Cost _____________ ****** End of List ****** Enter-PF1---PF2---PF3---PF4---PF5---PF6---PF7---PF8---PF9---PF10--PF11--PF12--- Hmenu Help EHelp The amount budgeted for the account by the fiscal office (for the fiscal year specified on the Action Line) will appear in the FY Unallocated Revenue or FY Unallocated Expense fields. You may distribute these funds across the profile categories as necessary. In this example, $100,000.00 of the expense budget has been moved to the Travel - In State category. Departmental Accounting Profiles: Basic Concepts (cont’d) Step 2- View the Target Budget for Your Account When you have distributed all necessary funds for the account, you can monitor transactions against your target budgets using the profile categories. Screen 721 will show your target budget (as defined on Screen 720), actual, and encumbrance transactions made against the profile categories, and the resulting target budget balance available. Screen 721 - SL (6 Digit) Summary by Target Budget 721 SL (6 Digit) Summary by Target Budget 09/21/11 10:56 ENHANCEMENT FEE - LIBRARY FY 2012 CC 02 Screen: ___ Account: 289010 Budget FY: 2011 Actuals FY: 2011 Thru Month: 9_ September FY/PY/IN to Date: FY Profile Dept: ADRC_ Name: ADRC______ Department: LIBR Resp Person: GILBERT, GREGORY G Flags: D F D B R Map Code: 28906 N N N Y 001 Target Category Description Budget Actual Encumbrances Available ------------------------- ------------ ------------ ------------ ------------- Uncategorized Revenue 253 253- Unallocated Budget Exp 6540186 6540186 Uncategorized Expense 27883 27883- Salaries 4135 190754 194889- Benefits 3535 33555 37090- Travel 5966 10736 16703- Supplies 11877 11186 23063- Food 49 49- Utilities 2035 19325 21360- Enter-PF1---PF2---PF3---PF4---PF5---PF6---PF7---PF8---PF9---PF10--PF11--PF12--- Hmenu Help EHelp Print Left Right You may change the view of the account by keying another profile department and/or profile name and pressing . The screen will adjust the data to reflect the new profile you have selected. When budget planning is your objective, you can view the current or past year actuals (Actuals FY) against the planning budget for the future year (Budget FY). Profiles may be used across departments since you can link any department’s profile to your account. Only the department that owns the profile can update the profile categories on Screen 715. Users of ENTIRE CONNECTION may print this view of the account by pressing PF9. For information about ENTIRE CONNECTION, consult the ENTIRE CONNECTION User’s Manual or contact the FAMIS Hotline at (979) 458-6450. Section VI Profile Maintenance Maintain Department Defined Profiles Department defined profiles have been designed to allow you to view accounts differently from the central fiscal office. You may use Screen 715 to define profiles for your department. It is possible for your department to have more than one profile. Screen 715 - Department Defined Profile Maintenance 715 Dept Defined Profile Maintenance 09/21/11 10:53 FY 2012 CC 02 Screen: ___ Profile Dept: ADRC_ Profile Name: ADRC______ Profile Long Name: Admissions and Records__________________ F Category Description Low High Message _ Salaries____________ 1100 1699 _ Benefits____________ 1900 1999 _ Wages_______________ 1700 1799 _ Supplies____________ 4000 4049 _ Supplies____________ 4051 4090 _ Centrex_____________ 5100 5199 _ Centrex_____________ 5770 5770 _ Centrex_____________ 8445 8445 _ Printing____________ 5471 5471 _ Printing____________ 5615 5617 _ Mail________________ 5650 5655 _ Travel______________ 3000 3999 _ Travel______________ 5215 5215 ***** press ENTER to view more Entries ***** Enter-PF1---PF2---PF3---PF4---PF5---PF6---PF7---PF8---PF9---PF10--PF11--PF12--- Hmenu Help EHelp Basic Steps Add New Department Profiles • Type a profile department and profile name in the fields provided, and press . To see all of the profile names tied to a department, type an asterisk (*) in the Profile Name field and press to view a list in a pop-up window. You may select a profile name from the pop-up display and press to return to Screen 715. • Type an “A” in the F (Function) field to add a profile category. • Enter the Category Description, the Low object code value, and the High object code value which define each of the profile categories in the fields provided. • Press to record the profile information. Modify Department Profiles • Type a profile department and profile name in the fields provided and press to display existing profile information. • Type a “U” in the F (Function) field to update a profile category. • Type data in the available fields, as desired, and press to record the profile information. Screen 715 – Department Defined Profile Maintenance (cont’d) Profile Maintenance Process Profile Categories Profile categories, as entered on Screen 715, are similar to ABR rule budget pools. However, ABR rules are defined by the central fiscal office for the TAMUS member. In contrast, profile categories and their budgets may be defined by individual departments within a member institution or agency. For each profile category, you must enter a short description identifying the type of transactions to be tracked by the category and a range of object codes. The object codes determine which transactions you wish to be grouped together to form a category. For instance, The General Revenue and Sales & Services categories could be subsets of an ABR pool for revenue. This allows you to track all sales revenues (transactions with object codes that fall in the range from 0500 to 0999) separately from other revenue transactions, regardless of the ABR rule defining budget pools for the account. Every object code should fit into one of the categories. Order is also important. A transaction will be lumped into the first category that its object code “fits.” Categories may include more than one object code range. The category descriptions are limited to 65 items. Profile Search and Select Profile search and select is available for all profiles within a particular department. If you do not know the name of the profile, enter an asterisk (*) in the Profile Dept or Profile Name field and press to access a pop-up window (see below). Enter the department code in the Search field and press to display a list of profiles for the department. Type an “X” to the left of the desired profile and press to select the profile and return to Screen 715. Press PF4 if you wish to return to Screen 715 without selecting a profile. Profile Search and Select Pop-Up Window +------------------------------------------------------------+ | 2202 Mark field with an "X" to select | | Screen: ___ Search: ADRC_ __________ | | Profile Profile Name | | X ADRC ADRC Admissions and Records | | _ ADRC ADRCO ADRC Other | | _ ADRC SALSVG ADRC Salary Savings | | | | | | | | | | | | | | | | | | | | ** END OF LIST - 4 PROFILE(S) FOUND ** | | PF4=Exit | +------------------------------------------------------------+ Screen 715 – Department Defined Profile Maintenance (cont’d) Field Descriptions (. = Required; Help = Field Help Available Using PF2, ?, or *) Action Line . Profile Dept: 5 characters Identify the department to which the profile belongs. . Profile Name: 10 characters Indicate the profile to be created or modified. Screen Information . Profile Long Name: 40 characters Enter the full name of the profile to add/update. F: 1 character Indicates whether you wish to A = Add a new line to the profile U = Update/change a line of the profile D = Delete a line from the profile. Category 20 characters Description: Displays a short description of the profile category. Limit is 65 items. Low: 4 digits Identifies the lower boundary of object codes to be tracked for a particular category of the profile. High: 4 digits Indicates the upper boundary of object codes to be tracked for a particular category of the profile. Message: 50 characters Displays system messages about the status of a particular profile category. Additional Functions PF KEYS See the Appendix for an explanation of the standard PF keys. SL Department Defined Budget Categories Once your profile has been created, you may associate it with a Subsidiary Ledger (SL) account using Screen 720. When an account is linked to a profile, the profile inquiry screens (Screen 721 and Screen 722) will display the SL account data detailed at the profile categories without requiring you to separately key in the profile department and name each time. Screen 720 is also used to allocate funds for the individual categories of the profile. A profile may be associated with many accounts, but in a specific fiscal year an account may only be linked to one profile at a time. Screen 720 - SL (6 Digit) Dept Defined Budget Maintenance 720 SL (6 Digit) Dept Defined Budget Maintenance 09/21/11 16:56 MISP FY 2012 CC AA Screen: ___ Account: 339999 Fiscal Year: 2012 Profile Dept: MISP_ Name: PROFILE1__ Profile Number 1 FY Unallocated Revenue: 0.00 FY Unallocated Expense: 100000.00 Category Description FY Budget General Revenue ____200000.00 Sales & Services ____400000.00 Salaries ____100000.00 Travel - In State _____50000.00 Travel - Other _____50000.00 Office Supplies _____________ Other Expenses ____200000.00 Indirect Cost ____100000.00 ****** End of List ****** Enter-PF1---PF2---PF3---PF4---PF5---PF6---PF7---PF8---PF9---PF10--PF11--PF12--- Hmenu Help EHelp Basic Steps • Type a Subsidiary Ledger (SL) account number in the Account field and press to display any existing profile information. • Type a profile department and name and press to link the profile to the account. • Enter target budget amounts for the profile categories as desired, and press to record the budget changes. Budget Maintenance Process Unallocated Revenue and Expense The dollar amount of “unallocated” revenue or expense is the dollar amount budgeted for the Subsidiary Ledger (SL) account by the fiscal department. The ABR budget pools and the amount allocated to them by the fiscal department may be viewed using Screen 19. Profile “target budgets” set using Screen 720 do not affect the budget pools set by the fiscal department. They are strictly for departmental use. Any funds not distributed among the profile categories will remain “unallocated.” Screen 720 – SL (6 Digit) Dept Defined Budget Maintenance (cont’d) Field Descriptions (. = Required; Help = Field Help Available Using PF2, ?, or *) Action Line . Account: 6 digits Identify the Subsidiary Ledger (SL) account to be viewed with the profile. . Fiscal Year: 4 digits Enter the fiscal year of the account data. . Profile Dept: 5 characters Identify the department to which the profile belongs. . Name: 10 characters Enter the profile name attached to the account. Screen Information FY Unallocated 15 digits Revenue: Shows revenue funds available for an account for a fiscal year not allocated to a profile revenue category. FY Unallocated 15 digits Expense: Displays the expense funds available for an account for a fiscal year not allocated to a profile expense category. Category 30 characters Description: Shows a short description of the profile category. FY Budget: 14 digits Indicates the fiscal year budget amount allocated to the profile category. Additional Functions PF KEYS See the Appendix for an explanation of the standard PF keys. SA Department Defined Budget Categories Once your profile has been created, you may attach it to a Support Account (SA) using Screen 730. When your support account is linked to your profile, the profile inquiry screens (Screen 731 and Screen 732) will display the SA data detailed at the profile categories without requiring you to key the profile department and name each time you wish to view the account data. Screen 730 is also used to allocate funds for the individual categories of your profile. Your profile may be associated with many accounts, but in a specific fiscal year your account may only be linked to only one profile at a time. Screen 730 - SA (11 Digit) Dept Defined Budget Maintenance 730 SA (11 Digit) Dept Defined Budget Maintenance 09/21/11 17:00 MISP FY 2012 CC AA Screen: ___ Account: 339999 00000 Fiscal Year: 2012 Profile Dept: MISP_ Name: PROFILE1__ Profile Number 1 FY Unallocated Revenue: 300000.00 FY Unallocated Expense: 250000.00 Category Description FY Budget General Revenue ____120000.00 Sales & Services _____50000.00 Salaries _____50000.00 Travel - In State _____50000.00 Travel - Other _____10000.00 Office Supplies _____25000.00 Other Expenses _____10000.00 Indirect Cost _____30000.00 ****** End of List ****** Enter-PF1---PF2---PF3---PF4---PF5---PF6---PF7---PF8---PF9---PF10--PF11--PF12--- Hmenu Help EHelp Basic Steps • Type a Support Account (SA) number in the Account field • Press to display any existing profile information. • Type a profile department and name. • Press to attach the profile to the account. • Type target budget amounts for the profile categories, as desired. • Press to record the budget changes. Budget Maintenance Process Unallocated Revenue and Expense The dollar amount of “unallocated” revenue or expense is the dollar amount budgeted for the Support Account (SA) by the fiscal department. The ABR budget pools and the amount allocated to them by the fiscal department may be viewed using Screen 74. Profile “target budgets,” as set using Screen 730, do not affect budget pools set by the fiscal department. They are strictly for departmental use. Any funds not distributed among the profile categories will remain “unallocated.” Screen 730 – SA Dept Defined Budget Maintenance (cont’d) Field Descriptions (. = Required; Help = Field Help Available Using PF2, ?, or *) Action Line . Account: 6 digits Identify the Support Account (SA) to be viewed with the profile. . Fiscal Year: 4 digits Identify the fiscal year of the account data. . Profile Dept: 5 characters Identify the department to which the profile belongs. . Name: 10 characters Indicate the profile name attached to the account. The full profile name will be displayed when you press . Screen Information FY Unallocated 15 digits Revenue: Displays the revenue funds available for an account for a fiscal year not allocated to a profile revenue category. FY Unallocated 15 digits Expense: Displays the expense funds available for an account for a fiscal year not allocated to a profile expense category. Category 30 characters Description: Shows a short description of the profile category. FY Budget: 14 digits Indicates the fiscal year budget amount allocated to a profile category. Additional Functions PF KEYS See the Appendix for an explanation of the standard PF keys. Sponsored Projects Department Defined Budget Categories Once your profile has been created, you may attach it to a Sponsored Research (SPR) project. This is accomplished using SPR Screen 160. When your project is linked to your profile, the project profile inquiry screens (SPR Screen 161 and Screen 162) will display the project account data detailed at the profile categories without requiring you to key the profile department and name each time. Screen 160 is also used to allocate budget for the individual categories of the profile. Your profile may be associated with many projects, but your project may only be linked to one profile at any given time. All account transactions for a project will be grouped according to the designated profile categories. SPR Screen 160 - Project Dept Defined Budget Maintenance 160 Project Dept Defined Budget Maintenance 09/21/11 10:50 INSECTS FY 2012 CC AA Screen: ___ Project: 0000000001 Fiscal Year: 2012 Profile Dept: MISP_ Name: D-TEST____ Determination Test Profile FY Unallocated Revenue: -150000.00 FY Unallocated Expense: -5000.00 Category Description FY Budget General Revenue ____100000.00 Training Revenue _____50000.00 Salaries & Wages _____________ Benefits _____________ Office Supplies _____________ Travel - In State _____________ Travel - Not n State _____________ Other Expenses ______2500.00 Capital Outlay _____________ Indirect Cost ______2500.00 ****** End of List ****** Enter-PF1---PF2---PF3---PF4---PF5---PF6---PF7---PF8---PF9---PF10--PF11--PF12--- Hmenu Help EHelp Basic Steps • Type a project number in the Project field and press to display any existing profile information. • Type a profile department and name and press to attach the profile to the project. • Type target budget amounts for the profile categories, as desired, and press to record the budget changes. SPR Screen 160 – Project Dept. Defined Budget Maint. (cont’d) Budget Maintenance Process Unallocated Revenue and Expense The dollar amount of “unallocated” revenue or expense is the amount budgeted for all of the Subsidiary Ledger (SL) and Support Accounts (SA) by the fiscal department. The ABR budget pools and the amount allocated to them may be viewed using FRS Screen 19 and Screen 74, respectively. Profile “target budgets,” set using SPR Screen 160, will not affect budget pools set by the fiscal department. They are strictly for departmental use. Any funds not distributed among the categories will remain “unallocated.” Field Descriptions (. = Required; Help = Field Help Available Using PF2, ?, or *) Action Line . Project: * Help 10 digits Enter the project to be viewed with the profile. . Fiscal Year: 4 digits Defaults to the current fiscal year. Change if needed. . Profile Dept: 5 characters Include the department to which the profile belongs. . Name: 10 characters Enter the project profile name. Screen Information FY Unallocated 15 digits Revenue: Shows revenue funds available for a project for a fiscal year, not allocated to a profile revenue category. FY Unallocated 15 digits Expense: Identifies the expense funds available for a project for a fiscal year, not allocated to a profile expense category. Category 30 characters Description: Displays a short description of the profile category. . FY Budget: 14 digits Indicates the fiscal year budget amount to be allocated to a profile category. Additional Functions PF KEYS See the Appendix for an explanation of the standard PF keys. SPR Screen 160 – Project Dept. Defined Budget Maint. (cont’d) Section VII Profile Account Inquiry SL Account Summary by “Target” Budget You may view your Subsidiary Ledger (SL) account data based on the profiles you defined on Screen 715. You may display your SL accounts and their transactions using Screen 721. Screen 721 - SL (6 Digit) Summary by Target Budget (Panel 1) 721 SL (6 Digit) Summary by Target Budget 09/21/11 11:03 PROTEIN CHEMISTRY LABORATORY FY 2012 CC 02 Screen: ___ Account: 271020 Budget FY: 2012 Actuals FY: 2012 Thru Month: 9_ September FY/PY/IN to Date: FY Profile Dept: FISC_ Name: TELE______ Department: BCBP Resp Person: RICHARDS, ROBERTO R Flags: D F D B R Map Code: 27102 N N N Y 001 Target Category Description Budget Actual Encumbrances Available ------------------------- ------------ ------------ ------------ ------------- Uncategorized Revenue 8019- 8019 Unallocated Budget Exp 35489 35489 Uncategorized Expense 154- 15262 15109- ** Total Expenses ** 35489 154- 15262 20380 Enter-PF1---PF2---PF3---PF4---PF5---PF6---PF7---PF8---PF9---PF10--PF11--PF12--- Hmenu Help EHelp Print Left Right Screen 721 - SL (6 Digit) Summary by Target Budget (Panel 2) 721 SL (6 Digit) Summary by Target Budget 09/21/11 11:04 PROTEIN CHEMISTRY LABORATORY FY 2012 CC 02 Screen: ___ Account: 271020 Budget FY: 2012 Actuals FY: 2012 Thru Month: 9_ September FY/PY/IN to Date: FY Profile Dept: FISC_ Name: TELE______ Department: BCBP Resp Person: RICHARDS, ROBERTO R Flags: D F D B R Map Code: 27102 N N N Y 001 Target Category Budget CM Actual Actual Encumbrances Available -------- ------------- ------------- ------------- ------------- ------------- Uncatego 8018.50- 8018.50- 8018.50 Unalloca 35489.07 35489.07 Uncatego 153.52- 153.52- 15262.11 15108.59- ** Total 35489.07 153.52- 153.52- 15262.11 20380.48 Enter-PF1---PF2---PF3---PF4---PF5---PF6---PF7---PF8---PF9---PF10--PF11--PF12--- Hmenu Help EHelp Print Left Right Basic Steps • Type an account number in the Account field and press . • Type a profile department and name if one is not already linked to the account. • Press to display the account information. Screen 721 – SL Summary by Target Budget (cont’d) Target Budget Process Target budgets are the profile categories you defined on Screen 715 and assigned budgets to on Screen 720. Profile categories, as entered on Screen 715, are similar to the ABR rule budget pools. However, ABR rules are defined by the central fiscal office for a TAMUS member. In contrast, profile categories and their budgets may be defined by individual departments within a member institution or agency. Field Descriptions (. = Required; Help = Field Help Available Using PF2, ?, or *) Action Line . Account: 6 digits Identify the Subsidiary Ledger (SL) account number to display the transaction summary. . Budget FY: 4 digits Displays the current fiscal year, but may be changed to display desired year’s target budget. . Actuals FY: 4 digits Enter fiscal year for transactions to be displayed. . Thru Month: 2 digits Identify the month through which account transaction activity is to be displayed. . FY/PY/IN to 2 characters Date: Indicate whether to display account activity for the Fiscal Year (FY), Project Year to date (PY), or from the account’s Inception to date (IN). . Profile Dept: 5 characters Include the department to which the profile belongs. . Name: 10 characters Indicate the profile name for the categories to be used to view the account transactions. Screen Information . Panel 1 Department: PF2 Help 5 characters Identifies the department to which the selected account belongs. Resp Person: PF2Help 30 characters Displays the name of the person responsible for the selected account. Screen 721 – SL Summary by Target Budget (cont’d) Flags: PF2Help 1 character/3 digits (ABR flag) Indicates values for flag maintenance. Y = On N = Off R = Reject ------------------- D = Delete F = Freeze B = Bottom Line C = Category Control Z = Freeze direct only G = Generate Expense Budget (GEB) ABR = ABR number rule Map Code: PF2Help 5 digits Shows the General Ledger (GL) account associated with Subsidiary Ledger (SL) account. Category 25 characters Description: Displays a brief description of the profile category. Target Budget: 12 digits Identifies the dollar amount budgeted for the profile category in the Budget Fiscal Year. Actual: 12 digits Indicates actual dollar amount of transactions processed in Actual FY for the profile category. Encumbrances: 12 digits Shows the dollar amount of encumbrances processed in the Actual FY for profile category. Available: 12 digits Identifies the net amount available after all transactions (actuals and encumbrances) have been processed against target budget category. . Panel 2 CM Actual: 12 digits Shows dollar amount of actual transactions completed during current month (i.e. month indicated in “Thru Month” for profile category. Additional Functions PF KEYS See the Appendix for an explanation of the standard PF keys. PF9 Print Account Information Print Used to print account information from FAMIS using Entire Connection. See the FAMIS Entire Connection User’s Manual for more information. SA Summary by “Target” Budget Category You may view your Support Account (SA) transactions based on the profiles you defined on Screen 715. You may display your SAs and their transactions using Screen 731. Screen 731 - SA (11 Digit) Summary by Target Budget (Panel 1) 731 SA (11 Digit) Summary by Target Budget 09/21/11 11:06 STADIUM REVENUE FUND FY 2012 CC 02 Screen: ___ Account: 300090 00000 Budget FY: 2012 Actuals FY: 2012 Thru Month: 9_ September FY/PY/IN to Date: FY Profile Dept: ATLT_ Name: GENERAL___ Department: ATHL Resp Person: BOLTON JR, BENJAMIN B Flags: D F D B R Map Code: 30009 N N N N 001 Target Category Description Budget Actual Encumbrances Available ------------------------- ------------ ------------ ------------ ------------- Unallocated Budget Rev 70551247- 70551247- Uncategorized Revenue 22580- 22580 ** Total Revenue ** 70551247- 22580- 70528667- Unallocated Budget Exp 61607086 61607086 Contracted Services 179156 179156- ** Total Expenses ** 61607086 179156 61427930 Enter-PF1---PF2---PF3---PF4---PF5---PF6---PF7---PF8---PF9---PF10--PF11--PF12--- Hmenu Help EHelp Print Left Right Screen 731 - SA (11 Digit) Summary by Target Budget (Panel 2) 731 SA (11 Digit) Summary by Target Budget 09/21/11 11:06 STADIUM REVENUE FUND FY 2012 CC 02 Screen: ___ Account: 300090 00000 Budget FY: 2012 Actuals FY: 2012 Thru Month: 9_ September FY/PY/IN to Date: FY Profile Dept: ATLT_ Name: GENERAL___ Department: ATHL Resp Person: BOLTON JR, BENJAMIN B Flags: D F D B R Map Code: 30009 N N N N 001 Target Category Budget CM Actual Actual Encumbrances Available -------- ------------- ------------- ------------- ------------- ------------- Unalloca 70551247.00- 70551247.00- Uncatego 22580.00- 22580.00- 22580.00 ** Total 70551247.00- 22580.00- 22580.00- 70528667.00- Unalloca 61607086.00 61607086.00 Contract 179156.37 179156.37 179156.37- ** Total 61607086.00 179156.37 179156.37 61427929.63 Enter-PF1---PF2---PF3---PF4---PF5---PF6---PF7---PF8---PF9---PF10--PF11--PF12--- Hmenu Help EHelp Print Left Right Basic Steps • Type an account number in the Account field and press . • Type a profile department and name if one is not already attached to the account. • Press to display the account information. Screen 731 – SA Summary by Target Budget Category (cont’d) Target Budget Process Target budgets are the profile categories you defined on Screen 715 and assigned budgeting for on Screen 730. Profile categories, as entered on Screen 715, are similar to ABR rule budget pools. However, ABR rules are defined by the central fiscal office for a TAMUS member. In contrast, profile categories and their budgets may be defined by individual departments within a member institution or agency. Field Descriptions (. = Required; Help = Field Help Available Using PF2, ?, or *) Action Line . Account: 11 digits Identify the Support Account (SA) number for desired transaction summary. . Budget FY: 4 digits Displays the current fiscal year, but may be changed to view the target budget for a specific fiscal year. . Actuals FY: 4 digits Indicate the fiscal year for which transactions are to be displayed. . Thru Month: 2 digits Identify month through which account transaction activity is to be displayed. . FY/PY/IN to 2 characters Date: Indicate whether to display account activity for the Fiscal Year (FY), Project Year to date (PY), or from the account’s Inception to date (IN). . Profile Dept: 5 characters Include the department profile. . Name: 10 characters Identify name of profile whose categories will be used to view the account transactions. Screen Information . Panel 1 Department: PF2 Help 5 characters Shows the department to which the selected account belongs. Resp Person: PF2 Help 30 characters Displays the name of the person responsible for the selected account. Screen 731 – SA Summary by Target Budget Category (cont’d) Flags: PF2 Help 1 character/3 digits (ABR flag) Indicates values for flag maintenance. Y = On N = Off R = Reject ------------------- D = Delete F = Freeze B = Bottom Line C = Category Control Z = Freeze direct only G = Generate Expense Budget (GEB) ABR = ABR number rule Map Code: PF2 Help 5 digits Shows General Ledger (GL) account associated with the Support Account (SA). Category 25 characters Description: Displays a brief description of the profile category. Target Budget: 12 digits Identifies dollar amount budgeted for profile category in the Budget Fiscal Year. Actual: 12 digits Indicates the actual dollar amount of transactions processed in Actuals FY for the profile category. Encumbrances: 12 digits Displays the dollar amount of encumbrances processed in Actuals FY for the profile category. Available: 12 digits Indicates the net amount available after all transactions (actuals and encumbrances) have been processed against the target budget category. . Panel 2 CM Actual: 12 digits Identifies dollar amount of actual transactions completed during the current month (i.e. month indicated in the Thru Month field) for the profile category. Additional Functions PF KEYS See the Appendix for an explanation of the standard PF keys. PF9 Print Account Information Print Used to print account information from FAMIS using Entire Connection. See the FAMIS Entire Connection User’s Manual for greater details. SL Account Summary by Categories You may view your transactions (budget, actuals, and encumbrances) for your Subsidiary Ledger (SL) account with the user-defined categories by accessing Screen 722. Screen 722 – SL (6 Digit) Summary by User Defined Categories (Panel 1) 722 SL (6 Digit) Summary by User Defined Categories 09/21/11 11:08 STADIUM REVENUE FUND FY 2012 CC 02 Screen: ___ Account: 300090 Budget FY: 2012 Thru Month: 9_ September FY/PY/IN to Date: FY Profile Dept: ATLT_ Name: GENERAL___ Department: ATHL Resp Person: BOLTON JR, BENJAMIN B Flags: D F D B R Map Code: 30009 N N N N 001 Category Description Budget Actual Encumbrances Available ------------------------- ------------ ------------ ------------ ------------- Unallocated Budget Rev 70551247- 70551247- Uncategorized Revenue 10381402- 10381402 ** Total Revenue ** 70551247- 10381402- 60169845- Unallocated Budget Exp 1478228 1478228 Uncategorized Expense 1478228 1478228- Budget Entries 37082192 37082192 Salaries 16358497 20259 16338238 Wages 227275 227275 Fringe Benefits 3066651 54641 3012010 Enter-PF1---PF2---PF3---PF4---PF5---PF6---PF7---PF8---PF9---PF10--PF11--PF12--- Hmenu Help EHelp Print Left Right Screen 722 – SL (6 Digit) Summary by User Defined Categories (Panel 2) 722 SL (6 Digit) Summary by User Defined Categories 09/21/11 11:09 STADIUM REVENUE FUND FY 2012 CC 02 Screen: ___ Account: 300090 Budget FY: 2012 Thru Month: 9_ September FY/PY/IN to Date: FY Profile Dept: ATLT_ Name: GENERAL___ Department: ATHL Resp Person: BOLTON JR, BENJAMIN B Flags: D F D B R Map Code: 30009 N N N N 001 Category Budget CM Actual Actual Encumbrances Available -------- ------------- ------------- ------------- ------------- ------------- Unalloca 70551247.00- 70551247.00- Uncatego 10381402.28- 10381402.28- 10381402.28 ** Total 70551247.00- 10381402.28- 10381402.28- 60169844.72- Unalloca 1478228.41 1478228.41 Uncatego 1478228.41 1478228.41 1478228.41- Budget E 37082191.84 37082191.84 Salaries 16358497.03 20258.80 20258.80 16338238.23 Wages 227275.20 227275.20 227275.20 Fringe B 3066651.26 54640.80 54640.80 3012010.46 Enter-PF1---PF2---PF3---PF4---PF5---PF6---PF7---PF8---PF9---PF10--PF11--PF12--- Hmenu Help EHelp Print Left Right Basic Steps • Type an account number in the Account field and press . • Type a profile department and name if one is not already linked to the account. • Press to display the account information. Screen 722 – SL Account Summary by User Defined Categories (cont’d) Transaction Matching Process FAMIS determines where transactions are displayed on Screen 722 based on their object codes. When your post your transactions on-line, FAMIS compares the object code of your transaction with the profile object code ranges that you specified on Screen 715. Your transaction is then displayed on Screen 722 next to the category name whose object code range it falls into. All data is pulled from the fiscal year entered in the Budget FY field. For example, on the previous screen shot, a disbursement of $100.00 was processed for account 339999 with an object code of 3010. FAMIS looks at the profile (as defined on Screen 715) and determines that all transactions with an object code of 3010 should fall under the category “Travel - Other.” Field Descriptions (. = Required; Help = Field Help Available Using PF2, ?, or *) Action Line . Account: 6 digits Enter the Subsidiary Ledger (SL) account number to display transaction summary. . Budget FY: 4 digits Indicate the fiscal year for which transactions are to be displayed. . Thru Month: 2 digits Identify the month through which account transaction activity is to be displayed. . FY/PY/IN to Date: 2 characters Indicate whether to display account activity for the Fiscal Year (FY), Project Year to date (PY), or from the account’s Inception to date (IN). . Profile Dept: 5 characters Identify the department to which the profile belongs. . Name: 10 characters Indicate the name of the profile whose categories will be used to view the account transactions. Screen Information . Panel 1 Department: PF2 Help 5 characters Identifies the department to which the selected account belongs. Resp Person: PF2 Help 30 characters Displays the name of the person responsible for the selected account. Screen 722 – SL Summary by User Defined Categories (cont’d) Flags: PF2 Help 1 character/3 digits (ABR flag) Indicates values for flag maintenance. Y = On N = Off R = Reject ------------------- D = Delete F = Freeze B = Bottom Line C = Category Control Z = Freeze direct only G = Generate Expense Budget (GEB) ABR = ABR number rule Map Code: PF2 Help 5 digits Shows the General Ledger (GL) account associated with the selected Subsidiary Ledger (SL) account. Category 25 characters Description: Displays a description of the profile category. Budget: 12 digits Identifies the dollar amount of the official budget grouped in the user defined categories. Actual: 12 digits Shows the actual dollar amount of transactions processed for the profile category. Encumbrances: 12 digits Indicates the dollar amount of encumbrances processed for the profile category. Available: 12 digits Displays the net dollar amount available after all transactions (actuals and encumbrances) have been processed against the budget pool. . Panel 2 CM Actual: 12 digits Identifies dollar amount of actual transactions completed during current month (i.e. month indicated in “Thru Month” for the profile category). Additional Functions PF KEYS See the Appendix for an explanation of the standard PF keys. PF9 Print Account Information Print Used to print account information from FAMIS using Entire Connection. See the FAMIS Entire Connection User’s Manual for greater details. SA Summary Displayed by Categories You may view your transactions (budget, actuals, and encumbrances) for your Support Account (SA) with the department defined profile categories by accessing Screen 732. Screen 732 - SA (11 Digit) Summary by User Defined Categories (Panel 1) 732 SA (11 Digit) Summary by User Defined Categories 09/21/11 11:09 STADIUM REVENUE FUND FY 2012 CC 02 Screen: ___ Account: 300090 00000 Budget FY: 2012 Thru Month: 9_ September FY/PY/IN to Date: FY Profile Dept: ATLT_ Name: GENERAL___ Department: ATHL Resp Person: BOLTON JR, BENJAMIN B Flags: D F D B R Map Code: 30009 N N N N 001 Category Description Budget Actual Encumbrances Available ------------------------- ------------ ------------ ------------ ------------- Unallocated Budget Rev 70551247- 70551247- Uncategorized Revenue 22580- 22580 ** Total Revenue ** 70551247- 22580- 70528667- Budget Entries 61427930 61427930 Contracted Services 179156 179156 ** Total Expenses ** 61607086 179156 61427930 Enter-PF1---PF2---PF3---PF4---PF5---PF6---PF7---PF8---PF9---PF10--PF11--PF12--- Hmenu Help EHelp Print Left Right Screen 732 - SA (11 Digit) Summary by User Defined Categories (Panel 2) 732 SA (11 Digit) Summary by User Defined Categories 09/21/11 11:10 STADIUM REVENUE FUND FY 2012 CC 02 Screen: ___ Account: 300090 00000 Budget FY: 2012 Thru Month: 9_ September FY/PY/IN to Date: FY Profile Dept: ATLT_ Name: GENERAL___ Department: ATHL Resp Person: BOLTON JR, BENJAMIN B Flags: D F D B R Map Code: 30009 N N N N 001 Category Budget CM Actual Actual Encumbrances Available -------- ------------- ------------- ------------- ------------- ------------- Unalloca 70551247.00- 70551247.00- Uncatego 22580.00- 22580.00- 22580.00 ** Total 70551247.00- 22580.00- 22580.00- 70528667.00- Budget E 61427929.63 61427929.63 Contract 179156.37 179156.37 179156.37 ** Total 61607086.00 179156.37 179156.37 61427929.63 Enter-PF1---PF2---PF3---PF4---PF5---PF6---PF7---PF8---PF9---PF10--PF11--PF12--- Hmenu Help EHelp Print Left Right Basic Steps • Type an account number in the Account field and press . • Type a profile department name if one is not already linked to the account. • Press to display the account information. Screen 732 – SA Summary by User Defined Categories (cont’d) Transaction Matching Process FAMIS determines where transactions are displayed on Screen 732 based on their object codes. When your post your transactions online, FAMIS compares the object code of your transaction with the profile object code ranges that you specified on Screen 715. Your transaction is then displayed on Screen 732 next to the category name into whose object code range it falls. All data is pulled from the fiscal year entered in the Budget FY field. For example, on the previous screen shot, an encumbrance of $43.54 was processed for account 339999 09090 with an object code of 5010. FAMIS looks at the profile (as defined on Screen 715) and determines that all transactions with an object code of 5010 should fall under the category “Other Expenses.” Field Descriptions (. = Required; Help = Field Help Available Using PF2, ?, or *) Action Line . Account: 11 digits Enter the Support Account (SA) number for which transactions will be displayed. . Budget FY: 4 digits Indicate the fiscal year for transactions to be displayed. . Thru Month: 2 digits Identify through which month to display account transaction activity. . FY/PY/IN to Date: 2 characters Indicate whether to display account activity for the Fiscal Year (FY), Project Year to date (PY), or from the account’s Inception to date (IN). . Profile Dept: 5 characters Enter department to which the profile belongs. . Name: 10 characters Indicate the name of the profile whose categories will be used to view the account transactions. Screen Information . Panel 1 Department: PF2 Help 5 characters Shows the department to which the selected account belongs. Resp Person: PF2 Help 30 characters Displays the name of the person responsible for the selected account. Screen 732 – SA Summary by User Defined Categories (cont’d) Flags: PF2 Help 1 character/3 digits (ABR flag) Indicates values for flag maintenance. Y = On N = Off R = Reject ------------------- D = Delete F = Freeze B = Bottom Line C = Category Control Z = Freeze direct only G = Generate Expense Budget (GEB) ABR = ABR number rule Map Code: PF2 Help 5 digits Shows the General Ledger (GL) account associated with the selected Support Account (SA). Category 25 characters Description: Displays a brief description of the profile category. Budget: 12 digits Identifies the dollar amount of the official budget grouped in the user-defined categories. Actual: 12 digits Indicates the actual dollar amount of transactions processed for the profile category. Encumbrances: 12 digits Shows dollar amount of encumbrances processed for the profile category. Available: 12 digits Indicates the net dollar amount available after all transactions (actuals and encumbrances) have been processed against the budget pool. . Panel 2 CM Actual: 12 digits Shows dollar amount of actual transactions completed during current month (i.e. month indicated in “Thru Month” for profile category). Additional Functions PF KEYS See the Appendix for an explanation of the standard PF keys. PF9 Print Account Information Print Used to print account information from FAMIS using Entire Connection. See the FAMIS Entire Connection User’s Manual for greater details. Section VIII Sponsored Research Project Profiles Inquiry View Departmental Defined Profiles It is possible for you to display the categories of your profile, which is set up in the FRS module of FAMIS, while working in the Sponsored Research (SPR) module of FAMIS using SPR Screen 159. SPR Screen 159 - Department Defined Profile Inquiry 159 Dept Defined Profile Inquiry 09/21/11 11:11 FY 2012 CC 02 Screen: ___ Profile Dept: CLAR_ Profile Name: CHUD______ Profile Long Name: Center for Housing & Urban Development Category Description Low High Faculty Salaries 1410 1410 faculty salaries 1410 1410 Support Staff 1510 1510 Support Staff-Class 1515 1515 Graduate Assist 1&2 1525 1525 Wages 1700 1799 Capital Expenditures 8010 8999 Benefits 1 1610 1610 Benefits 2 1910 1990 Travel 1 3010 3065 Travel 2 3110 3165 Travel 3 3210 3410 ****** End of List ****** Enter-PF1---PF2---PF3---PF4---PF5---PF6---PF7---PF8---PF9---PF10--PF11--PF12--- Hmenu Help EHelp Basic Steps • Type a profile department and profile name in the fields provided. • Press to display user defined categories. Departmental Profile Process Profile Categories Profile categories, as shown on Screen 159, are similar to ABR rule budget pools. However, ABR rules are defined by the central fiscal office for a TAMUS member. In contrast, profile categories may be defined by individual departments within a member institution or agency. The object code ranges displayed determine which transactions will be grouped together to form a profile category. In the previous example, the category “Sales & Services” tracks all transactions with an object code that falls in the range from 0500 to 0999. This allows a department to track specific transactions regardless of the ABR rule defining the budget pools for the account. Departmental profiles may be associated with a project using Screen 160. Once a profile is attached to a project, all account (SL or SA) activity will be grouped according to the profile. Account activity may be tracked for a project by profile categories using Screen 161 and Screen 162. SPR Screen 159 – Department Defined Profile Inquiry (cont’d) Profile Search and Select Profile search and select is available for all profiles within a particular department. If the profile is unknown, enter an asterisk (*) in the Profile Dept or Profile Name field and press to access a pop-up window (see below). Enter the department code in the Search field and press to display a list of profiles for the department. Type an “X” to the left of the desired profile and press to select the profile and return to Screen 159. Press PF4 if you wish to return to Screen 159 without selecting a profile. Profile Search and Select Pop-Up Window +------------------------------------------------------------+ | 2202 Mark field with an "X" to select | | Screen: ___ Search: CLAR_ __________ | | Profile Profile Name | | X CLAR CHUD Center for Housing & Urban Dev | | _ CLAR DEANPROJ Dean's Project Feb 00 | | _ CLAR GRANT grant | | _ CLAR TRAVEL Travel budget | | | | | | | | | | | | | | | | | | | | ** END OF LIST - 4 PROFILE(S) FOUND ** | | PF4=Exit | +------------------------------------------------------------+ Field Descriptions (. = Required; Help = Field Help Available Using PF2, ?, or *) Action Line . Profile Dept: 5 characters Enter a department code to view the profile associated with it. . Profile Name: 10 characters Indicate the name of the profile to be displayed. Screen Information Profile Long Name: 40 characters Shows the full name of the profile. Category 20 characters Description: Displays a short description of the profile category. Low: 4 digits Identifies the lower boundary of object codes to be tracked for a category of the profile. High: 4 digits Indicates the upper boundary of object codes to be tracked for a particular category of the profile. Additional Functions PF KEYS See the Appendix for an explanation of the standard PF keys. SPR Project Summary by “Target” Budget Pool It is possible for you to view a Sponsored Research project’s activity using your profile “target budgets” (set on Screen 160). All transactions against them may be accessed via Screen 161. SPR Screen 161 - Project Summary by Target Budget (Panel 1) 161 Project Summary by Target Budget 09/27/11 14:49 PERFORMANCE CRITERIA FOR RETROREFLECT FY 2012 CC 99 Screen: ___ Project: 4761100000 Budget FY: 2011 Actuals FY: 2011 Thru Month: 9_ September FY/IN to Date: IN Profile Dept: ADMN_ Name: RF ADMIN._ Sponsor: 0000730 DOT-FEDERAL HIGHWAY ADMINISTRA Begin Date: 09/08/2006 End Date: 12/31/2010 Target Category Description Budget Actual Encumbrances Available ------------------------- ------------ ------------ ------------ ------------ Unallocated Budget Rev 260939- 260939- Uncategorized Revenue 208687- 208687 ** Total Revenue ** 260939- 208687- 52252- Unallocated Budget Exp 260939 260939 Uncategorized Expense 166199 166199- Professional Salary 37606 37606- Fringe - Regulatory 4882 4882- ** Total Expenses ** 260939 208687 52252 Enter-PF1---PF2---PF3---PF4---PF5---PF6---PF7---PF8---PF9---PF10--PF11--PF12--- Hmenu Help EHelp Print Left Right SPR Screen 161 - Project Summary by Target Budget (Panel 2) 161 Project Summary by Target Budget 09/27/11 14:50 PERFORMANCE CRITERIA FOR RETROREFLECT FY 2012 CC 99 Screen: ___ Project: 4761100000 Budget FY: 2011 Actuals FY: 2011 Thru Month: 9_ September FY/IN to Date: IN Profile Dept: ADMN_ Name: RF ADMIN._ Sponsor: 0000730 DOT-FEDERAL HIGHWAY ADMINISTRA Begin Date: 09/08/2006 End Date: 12/31/2010 Target Category Budget CM Actual Actual Encumbrances Available -------- ------------- ------------- ------------- ------------- ------------ Unalloca 260939.00- 260939.00- Uncatego 8078.03- 208687.11- 208687.11 ** Total 260939.00- 8078.03- 208687.11- 52251.89- Unalloca 260939.00 260939.00 Uncatego 8078.03 166198.80 166198.80- Professi 37606.22 37606.22- Fringe - 4882.09 4882.09- ** Total 260939.00 8078.03 208687.11 52251.89 Enter-PF1---PF2---PF3---PF4---PF5---PF6---PF7---PF8---PF9---PF10--PF11--PF12--- Hmenu Help EHelp Print Left Right Basic Steps • Type a project number in the Project field and press . • Type a profile department and name if one is not already linked to the project. • Press to display the project account information. • Use PF9 to print account information using Entire Connection. SPR Screen 161 – Project Summary by Target Budget (cont’d) Target Budget Process Target budgets are the profile categories displayed on Screen 159 and budgeted for on Screen 160. Profile categories, as shown on Screen 159, are similar to the ABR rule budget pools. However, ABR rules are defined by the central fiscal office for a TAMUS member. In contrast, profile categories and their budgets may be defined by individual departments within a member institution or agency. Field Descriptions (. = Required; Help = Field Help Available Using PF2, ?, or *) Action Line . Project: * Help 10 digits Identify the project whose account information is to be displayed. . Budget FY: 4 digits Indicate the fiscal year for which the target budget is to be displayed. . Actuals FY: 4 digits Include the fiscal year for which transactions are to be displayed. . Thru Month: 2 digits Indicate the month through which project transaction activity is to be displayed. . FY/IN to Date: 2 characters Include whether to display project activity for the Fiscal Year (FY) or from the project’s Inception to date (IN). Profile Dept: 5 characters Shows the department to which the profile belongs. Name: 10 characters Displays the name of the profile whose categories will be used to view the project account transactions. Screen Information . Panel 1 Sponsor: PF2 Help 7 digits Shows sponsor associated with your project. Begin Date: PF2 Help 10 digits Identifies the start date of your project. End Date: PF2 Help 10 digits Indicates the ending date of the project. Category 25 characters Description: Shows a brief description of the profile category. SPR Screen 161 – Project Summary by Target Budget (cont’d) Target Budget: 12 digits Identifies the dollar amount you budgeted for the profile category in the Budget Fiscal Year. Actual: 12 digits Shows the actual dollar amount of transactions processed in Actuals FY for the profile category. Encumbrances: 12 digits Indicates the dollar amount of encumbrances processed in Actuals FY for the profile category. Available: 12 digits Indicates the net amount available after all transactions (actuals and encumbrances) have been processed against the target budget category. . Panel 2 CM Actual: 12 digits Shows the dollar amount of actual transactions completed during the current month (i.e. the month indicated in the Thru Month field) for the profile category. Additional Functions PF KEYS See the Appendix for an explanation of the standard PF keys. PF9 Print Account Information Print Used to print account information from FAMIS using Entire Connection. See the Entire Connection User Manual for additional information. SPR Project Summary by User Categories SPR Screen 162 allows you to view your sponsored research project’s activity (budget, actual, and encumbrance transactions) using the user defined profile categories. Inquiry screens, such as Screen 162, may be used to view current data on specific projects using profiles without requesting, printing, and waiting for hard-copy reports. SPR Screen 162 - Project Summary by User Defined Categories 162 Project Summary by User Defined Categories 09/27/11 14:51 PERFORMANCE CRITERIA FOR RETROREFLECT FY 2012 CC 99 Screen: ___ Project: 4761100000 Budget FY: 2011 Thru Month: 9_ September FY/IN to Date: FY Profile Dept: ADMN_ Name: RF ADMIN._ Sponsor: 0000730 DOT-FEDERAL HIGHWAY ADMINISTRA Begin Date: 09/08/2006 End Date: 12/31/2010 Category Description Budget Actual Encumbrances Available ------------------------- ------------ ------------ ------------ ------------ Unallocated Budget Rev 60330- 60330- Uncategorized Revenue 8078- 8078 ** Total Revenue ** 60330- 8078- 52252- Unallocated Budget Exp 60330 60330 Uncategorized Expense 8078 8078- ** Total Expenses ** 60330 8078 52252 Enter-PF1---PF2---PF3---PF4---PF5---PF6---PF7---PF8---PF9---PF10--PF11--PF12--- Hmenu Help EHelp Print Left Right SPR Screen 162 - Project Summary by User Defined Categories 162 Project Summary by User Defined Categories 09/27/11 14:52 PERFORMANCE CRITERIA FOR RETROREFLECT FY 2012 CC 99 Screen: ___ Project: 4761100000 Budget FY: 2011 Thru Month: 9_ September FY/IN to Date: FY Profile Dept: ADMN_ Name: RF ADMIN._ Sponsor: 0000730 DOT-FEDERAL HIGHWAY ADMINISTRA Begin Date: 09/08/2006 End Date: 12/31/2010 Category Budget CM Actual Actual Encumbrances Available -------- ------------- ------------- ------------- ------------- ------------ Unalloca 60329.92- 60329.92- Uncatego 8078.03- 8078.03- 8078.03 ** Total 60329.92- 8078.03- 8078.03- 52251.89- Unalloca 60329.92 60329.92 Uncatego 8078.03 8078.03 8078.03- ** Total 60329.92 8078.03 8078.03 52251.89 Enter-PF1---PF2---PF3---PF4---PF5---PF6---PF7---PF8---PF9---PF10--PF11--PF12--- Hmenu Help EHelp Print Left Right Basic Steps • Type a project number in the Project field and press . • Type a profile department and name if one is not already linked to the project. • Press to display the project account information. • Use PF9 to print account information using Entire Connection. SPR Screen 162 – Project Summary by User Defined Categories (cont’d) Transaction Matching Process FAMIS determines where transactions are displayed on SPR Screen 162 based on their object codes. When you post your transactions online, FAMIS compares the object code of your transaction with the profile object code ranges that you displayed on SPR Screen 159. Your transaction is then displayed on SPR Screen 162 next to the category name whose object code range it falls into. All data is pulled from the fiscal year entered in the Budget FY field. Field Descriptions (. = Required; Help = Field Help Available Using PF2, ?, or *) Action Line . Project: * Help 10 digits Identify the project whose account information will be displayed. . Budget FY: 4 digits Indicate the fiscal year for which all transactions will be displayed. . Thru Month: 2 digits Include the month through which project transaction activity is to be displayed. . FY/IN to Date: 2 characters Indicate whether to display project activity for the Fiscal Year (FY), or from the project’s Inception to date (IN). . Profile Dept: 5 characters Identify the department to which the profile belongs. . Name: 10 characters Include the profile whose categories will be used to view the project account transactions. Screen Information . Panel 1 Sponsor: 7 digits Shows the sponsor associated with your project. Begin Date: 10 digits Identifies the start date of your project. End Date: 10 digits Indicates the ending date of the project. Category 25 characters Description: Displays a brief description of the profile category. Budget: 12 digits Identifies the dollar amount of the official budget grouped in the user-defined categories. SPR Screen 162 – Project Summary by User Defined Categories (cont’d) Actual: 12 digits Indicates the actual dollar amount of transactions processed. Encumbrances: 12 digits Indicates the dollar amount of encumbrances processed. Available: 12 digits Indicates the net dollar amount available after all transactions (actuals and encumbrances) have been processed against the budget pool. . Panel 2 CM Actual: 12 digits Identifies the dollar amount of actual transactions completed during the current month (i.e. the month indicated in the Thru Month field) for the profile category. Additional Functions PF KEYS See the Appendix for an explanation of the standard PF keys. PF9 Print Account Information Print Used to print account information from FAMIS using Entire Connection. See the FAMIS Entire Connection User’s Manual for greater details. Section IX Appendix Instructions Listed below are general instructions that will make your job easier as you use FAMIS to input or view document information. Please become familiar with the information in this reference as it can make your navigation in FAMIS more efficient. 3270 Emulation Keys Special keys and key combinations must be used when working with FAMIS. These keys are known as 3270 emulation keys and may be defined differently by each 3270 terminal or PC emulation software that you are using. Contact your computer support person if you do not know how to identify the following keys on your computer. PF Keys When a key is listed as PFn, “PF” represents Program Function. Many PCs use the function keys labeled Fn for these PF keys. Others have special combinations of keys to represent the PF keys, for example, on a Memorex emulation, a combination of the ALT key and the number 1 will represent the PF1 key. At the bottom of the FAMIS screens, there are PF keys listed that can assist in the use of the screen. For example, at the bottom of Screen 164 (Voucher Inquiry by PO Number) there is a PF11 key with the word “Right” under it. This means that by pressing PF11, the screen listing will scroll to the right for an additional panel of information. TAB and BACKTAB Keys Use the TAB and BACKTAB keys on a 3270 terminal to move from field to field. This will position the cursor at the start of each field. Most PCs have a key labeled TAB, while the BACKTAB is a combination of the SHIFT/TAB keys. Using the arrow keys, instead of the TAB keys, to move around the screen may lock the computer keyboard. Use the RESET key, then the TAB key, to position the cursor and unlock the keyboard. CLEAR Key The CLEAR key on many PC keyboards is the PAUSE key. This key is often used to clear, or refresh, the screen before typing. RESET Key After pressing to process data information, note the status bar at the bottom of the screen. When the system is processing information, the symbol "X ( )" or hour glass icon ( . ) will appear. You cannot enter additional information until the system is finished processing. If any other symbols appear, press your RESET key -- often the ESCAPE key on a PC. Appendix – Instructions (cont’d) ERASE END OF FIELD Key To erase all the information in a field with one stroke, the ERASE EOF key on a 3270 keyboard is helpful. For example, a vendor name is held in context when moving from screen to screen. To change to a different vendor, use this key and the current vendor name on the Action Line will be removed. Now the new vendor name can be input. On most PCs, the correct key to use is the END key on the numeric keypad. HOME Key From anywhere on the screen, the most efficient way to take the cursor back to the Screen field on the Action Line is by pressing certain keys. For the 3270 terminals, the correct combination is the ALT/RULE keys. On most PCs, the HOME key on the numeric keypad will work. Protected Area The Protected Area is the area of the screen that will not allow the user to enter information. Typing information in the protected area may freeze the screen. Use your reset key and then tab key to release your system when it freezes. Action Line/Context The Action Line is usually the first line of information on each screen. The Screen field is used to navigate from screen to screen by entering the number of the screen desired. Fields such as screen, vendor, voucher number, account, etc. are often found on the Action Line. Data that is entered on the Action Line will be carried in “context” from screen to screen until changed. For example, the GL account number 032365 is entered on the Action Line of the screen below. That account will be carried in “context” until the user keys a different account in the field. The key must be pressed after entering Action Line data. If a user does not follow this step, all information entered on the screen may be lost and must be re-entered. After pressing , a message will be given at the top of the screen asking for modifications or providing further processing instructions. F0002 Record has been successfully added 002 GL 6 Digit 08/01/11 09:17 FY 2011 CC 02 Screen: ___ Account: 032365 ____ NAVSO, INC Account Title: NAVSO, INC.___________________ __ SRS: _ Appendix – Instructions (cont’d) Message Line The line above the Action Line is used to display messages to the user. These messages may be error messages or processing messages, such as the one below. F6537 Please enter a valid six digit GL account 002 GL 6 Digit 01/20/92 11:26 Scrolling Through Data Pressing will scroll through information listed on a screen. On some screens, there are PF keys to use to scroll forward, backward, left and right. These PF keys are displayed at the bottom on the screens with that function. Help HELP functions are available for many screen fields in FAMIS. Typing a question mark (?) in the blank beside the desired field and pressing will access a pop-up window with specified field information. Another way is to place your cursor in the desired field and press PF2. To get out of the HELP function, either select a value and press or press PF4. The distinction on which key to use will normally be designated in the pop-up window (EX: PF4 = Exit). Escaping from a Pop-Up Window When in a pop-up window, pressing PF4 will usually take you back to the original screen. There are a few screens when pressing will take you back to the original screen. Appendix – Instructions (cont’d) Field Help Using the PF2 Program Function Key On selected fields, additional information can be displayed using the PF2 key. This HELP information is accessed by moving the cursor to the field in question and pressing PF2. For example, place the cursor in the Year-end Process field and press PF2. The first screen displayed explains the purpose of the field. Sometimes you will be shown the values immediately, without a definition or explanation. Screen 2 - GL 6 Digit 002 GL 6 Digit 08/01/11 09:15 FY 2011 CC 02 Screen: ___ Account: 014000 ____ MEDICINE Account Title: MEDICINE___________________________ SRS: _ Resp Person: 1uuuuuuu7 COLLINS, CINDY C Old Acct: 0284___________ Year-end Process: F Reclassify: _ Reporting Group: __ Aux Code: ___ AFR Fund Group: 10 Fund Group: FG Sub Fund Group: Sub-Sub: __ Flag to indicate what action to take with balance at year end. From the definition screen, press to view the valid values for the field. +------------------------------------------------------------------+ | | | *** D I C T I O N A R Y - H E L P *** | | | | VALUES MEANING | | -------------------------------- ----------------------------- | | F Fiscal Year | | P Project Year | | E Encumbrance Only (SL's only) | | T Transfer BBA (SL's Only) | | D BBA to Different account (SL) | | | | | | | | | | | | Rule : IAFRS-FG-FS-YY-END-PROC Default value is: | | View : IAFRS-GENERAL-SUBSIDIARY-LEDGER | | Field: FG-FS-YY-END-PROC | | | | PF1=Menu PF4=Exit | +------------------------------------------------------------------+ Appendix – Instructions (cont’d) Question Mark (?) or Asterisk (*) Help FAMIS has a Help feature on some screen fields that will display a field definition and/or values that may be entered. To use the Help feature, type a question mark (?) or asterisk (*) in the field and press . If Help is available for the field, a pop-up window will appear displaying a definition and/or valid values. To make a selection, type an “X” next to a value and press to pass it back to the previous screen. This is called the “Passback” feature. Screen 2 - GL 6 Digit 002 GL 6 Digit 08/01/11 09:17 FY 2011 CC 02 Screen: ___ Account: 010100 ____ ED & GEN INCOME-TUITION Account Title: ED & GEN INCOME-TUITION____________ SRS: _ Resp Person: 5uuuuuuu4 MASON, MOLLY M Old Acct: NA_____________ Year-end Process: F Reclassify: _ Reporting Group: __ Aux Code: ___ AFR Fund Group: ?_ Fund Group: FG Sub Fund Group: Sub-Sub: __ Function: __ Default Bank: 06000 Override: Y SL Mapped Count: 22 Alternate Banks: ***** _____ _____ _____ _____ Security: ______ Dept S-Dept Exec Div Coll Mail Cd Stmt Primary: REV__ _____ UN AD C6000 N Secondary: VTEA_ _____ AA CD VM C4457 N Fund Source: __ ________________________________________ Account Letter: Y Long Title: EDUCATIONAL AND GENERAL INCOME - TUITION Setup Dt: 08/26/1991 ________________________________________ Enter-PF1---PF2---PF3---PF4---PF5---PF6---PF7---PF8---PF9---PF10--PF11--PF12--- Hmenu Help EHelp Next Screen 2 - GL 6 Digit - Fund Group ?-Help Pop-Up Window +----------------------------------------------------------+ | ** More Codes - Press to View ** | | | | Search Criteria: AFR Fund Group: __ | | | | AFR Sub | | Fund Fund Fund Description | | _ 01 CLEARING ACCOUNTS | | X 10 FG FUNCTIONAL AND GENERAL | | _ 20 DS DF DESIGNATED/FUNCTIONAL & GENERAL | | _ 21 DS DS DESIGNATED/SERVICE DEPARTMENTS | | _ 22 DS ST DESIGNATED/SERV DEPT-MATERIAL & SUP | | _ 23 DS SM DESIGNATED/SERV DEPT-COMM & UTIL | | _ 24 DS SU DESIGNATED/SERV DEPT-REPAIRS & MAIN | | _ 25 DS SR DESIGNATED/SERV DEPT-RENTALS & LEAS | | _ 26 DS SL DESIGNATED/SERV DEPT-PRINTING & REP | | _ 27 DS SP DESIGNATED/SERV DEPT-CLAIMS & LOSSE | | _ 28 DS SC DESIGNATED/SERV DEPT-OTHER OPER EXP | | _ 29 DS SO DESIGNATED/SERV DEPT-OTHER OPER EXP | | -- IASYS-AFR-FUND-GROUP -- | | Select an AFR Fund Group or Press to Quit | +----------------------------------------------------------+ Standard PF Keys PF Keys are used in the FAMIS modules to access additional information. Wherever possible the same assignment has been given to the same PF key, such as PF9 always being the key used for NOTES. Occasionally this has not been possible and a different assignment has been made. The following list is to help you identify the functionality behind the PF keys that you will see on the many screens in FAMIS. Many screens have extended information windows assigned to various function keys that are designated at the bottom of each screen or pop-up window. Placing the cursor (using the cursor arrow keys) on a particular line and pressing the extended information function key will display the pop-up window information for the document or item on that line. To exit a pop-up window, press PF4 to return to the previous window or inquiry screen. If multiple windows have been opened pressing PF3 will return you directly to the screen where you started. From within many of the pop-up window an additional set of extended function keys may appear to further inquire on the document or item. Extended Function Keys Bkwd Backwards Advances backward to the previous screen or scrolls one page back for a particular item. Frwd Forward Advances forward to the next screen or scrolls one page forward for a particular item. Left Scroll Left Some windows are made up of several adjacent panels. These will be designated by the word Panel: ## appearing in the window. Pressing this key scrolls the panel to the left. More Desc More Description Displays complete description text for a document or an item. +--------------------------------------------------------------+ | R R400007 **Document Item Inquiry ** | | Item: 1.0 | | | | Line Descriptions | | ---- --------------------------------------------- | | 1 1.6 GB FORMATTED (USEABLE) FAST SCSI-2 DISK | | 2 DRIVE FOR SGI INDIGO WITH INTERNAL MOUNTING | | | | Press to Exit | +--------------------------------------------------------------+ Appendix – Standard PF Keys (cont’d) Next Next Screen Advances to the next screen required. Notes Notes Displays any notes attached to the document header. Use the Position at Line field to start the text at a particular line. The Page (F/B/E) field scrolls Forward (F), and Backward (B) through the text, or End (E) to exit the window. +------------------------------------------------------------------+ | F0013 Please enter desired modifications | | P600026 1.0 Position at line: ___ | | Line ******** Note Text ******** | | 1 >>Notes Entered 10/12/95 BY CARSON, CARL C___ | | | | 2 THE DEPARTMENT REQUESTS TO REVIEW ALL BIDS___ | | 3 PRIOR TO THE AWARD.__________________________ | | 4 _____________________________________________ | | 5 CONTACT DR. WILL W. WADDLESWORK FOR FURTHER_ | | 6 DETAILS/CLARIFICATION ABOUT THE REQUESTED____ | | 7 ITEMS._______________________________________ | | 8 _____________________________________________ | | 9 _____________________________________________ | | 10 _____________________________________________ | | 11 _____________________________________________ | | 12 _____________________________________________ | | PF4=Exit PF7=PItem PF8=NItem Page (F/B/E): _ | +------------------------------------------------------------------+ Right Scroll Right Some windows are made up of several adjacent panels. These will be designated by the word Panel: ## appearing in the window. Pressing this key scrolls the panel to the right. Departmental Accounting Screens List PAGE M05 Support Account Inquiry Menu ............................................................................................................ I-7 Provides a list of screens to create, modify, and view support accounts. M06 Support Account Maintenance ............................................................................................................. I-7 Provides a list of support account maintenance screens. M07 Dept Planning Budgets ........................................................................................................................ V-3 Provides a list of screens using departmental profiles. 50 Dept SA Attributes ............................................................................................................................ II-10 Used by the department to create/modify maintain data for a Support Account (SA). 51 Support Account Attributes............................................................................................................... II-15 Used to create and/ or maintain data for an 11 digit Support Account. 51C SA Effort Category Updates ............................................................................................................... II-21 Used to update the effort category for a support account. 53 SA Budget Move ................................................................................................................................ III-3 Used to transfer budget from one Support Account (SA) to another. 54 SA Flag Maintenance ......................................................................................................................... II-23 Used to set and maintain support account flags. 56 SA Transaction Move ........................................................................................................................ II-27 Used to move or split an expenditure or revenue transactions from one support account (base included) to another within the same SL. 57 Departmental Encumbrances ............................................................................................................ II-31 Used by departments to add and adjust encumbrances based on encumbrance type. 58 Support Account Category Maintenance ........................................................................................... II-34 Used by departments to set or reset Support Account (SA) flags at the 11 digit level to include bottom line budget control and default category control. 63 Transaction Inquiry by Account .......................................................................................................... IV-3 Used to list detail transactions entered against a specified SA account. 64 Support Account Budget Data List ...................................................................................................... III-6 Used to list current and historical Budget information about a specified SA account. 65 SA Summary for SL with Category Totals ............................................................................................ IV-6 Used to view all SAs for an SL displaying each SA’s revenue and expense information. 68 Support Account Search ..................................................................................................................... IV-9 Used to get a listing of SA accounts by either department or responsible person. 69 11 Digit List with Category Totals ..................................................................................................... IV-12 Used to display revenue and expense information about a specified 11-digit SA account. 74 SA Summary by Budget Pool ............................................................................................................ IV-15 Used to display summary data for budget pools at the SA level. 76 Transactions for Month by Ref 2 or 4 ............................................................................................... IV-18 Used to view transactions by entering the voucher number. Departmental Accounting Screens List (cont’d) PAGE 77 Transaction Inquiry for Ref 2 or 4 (15 digits) ..................................................................................... IV-21 Used to view detail transactions in a specified FA batch. 78 Transactions by Account/Subcode/Month ....................................................................................... IV-25 Used to view detail transactions by account number, month or subcode. 79 SA Detail Account Statement ........................................................................................................... IV-28 Used to view detail support account transactions for a specified month. 715 Dept Defined Profile Maint ................................................................................................................ VI-3 Used to create departmental profile and add /update budget categories. 720 SL Dept Defined Budget Maintenance ................................................................................................ VI-6 Used to attach a profile to a SL account and add /update dollar amounts for a target budget. 721 SL Summary by Target Budget ........................................................................................................... VII-3 Used to view SL transactions a profile and target budgets. 722 SL Budget Summary by User Defined Categories ............................................................................... VII-9 Used to view transactions for a SL using a department profile defined categories. 730 SA Dept Defined Budget Maintenance ............................................................................................... VI-8 Used to attach a profile to a SA account and add/update dollar amounts when a target budget is desired. 731 SA Summary by Target Budget .......................................................................................................... VII-6 Used to view transactions for a SA using a department profile and target budgets. 732 SA Budget Summary by User Defined Categories............................................................................. VII-12 Used to view transactions for a SA using a department profile defined categories. 754 Payroll Encumbrance Adjustment – Wage ......................................................................................... II-36 Used to create or adjust a wage PIN’s or an account’s blanket wage employee’s salary, benefit or longevity encumbrance amount. SPR: M12 SPR Project Inquiry Menu.................................................................................................................... V-3 Provides a list of SPR screens using departmental profiles. 159 Dept Defined Profile Maint .............................................................................................................. VIII-3 Used to create departmental profile and add /update budget categories. 160 Project Departmental Defined Budget.............................................................................................. VI-10 Used to attach a profile to a project and add /update dollar amounts when a target budget is desired for that account. 161 Project Summary by Target Budget .................................................................................................. VIII-5 Used to view transactions for a project using a department profile and target budgets. 162 Project Summary by User Category .................................................................................................. VIII-8 Used to view transactions for a project using a department profile defined categories. FAMIS Transaction Codes FAMIS uses a 3-digit transaction code to determine how transactions are processed. The last digit is often used as a reference to further describe the transaction. The exception is a full 3-digit code to indicate special processing. Many of these codes are used for budget transactions, encumbrances and beginning balances. Financial Accounting 02x - Budgets (Screens 10, 10A, 10B, 10C, 10D) 020 Original Budgets & Original Budget Corrections Special FAMIS Processing 021 Revised Budgets (General) Special FAMIS Processing 022 Budget Transfers Special FAMIS Processing 023 Base SL to SA (Original) Special FAMIS Processing 024 Base SL to SA (Revised) Special FAMIS Processing 025 SA to SA (Within SL Only) Special FAMIS Processing 027 Begin Year Budget Forward Special FAMIS Processing 03x - Receipts (Screen 12) 030 Regular Cash Receipts (Dept. Sales, Payments to Clearing Accts) User Defined 031 Investment Earnings User Defined 032 Gifts User Defined 033 Miscellaneous Receipts User Defined 034 Cashiers – Vault Entries User Defined 038 Payroll Interpart Transfers Assigned by FAMIS 039 Equity Transfer Receipts - Interpart IDTs – Credit to One Part, Disbursement to Other. Receipt of funds via equity transfer from Members to System for share of benefits paid by System Assigned by FAMIS 04x - Disbursements (Screen 13) 043 Miscellaneous Disbursements User Defined 044 Cashiers – Vault Entries User Defined 045 Miscellaneous Cash Disbursements (Travel Advance, Work Funds) User Defined 046 Change of Source of Funds Assigned by FAMIS 047 AP Check Voids Assigned by FAMIS 048 AP Disbursements Assigned by FAMIS 049 Payroll Disbursements, Equity Transfer Disbursements Assigned by FAMIS 05x - Encumbrances (Screen 11) 050 Previous Year(s) Encumbrances Special FAMIS Processing 051 Salary Encumbrances Assigned by FAMIS 054 Requisition Assigned by FAMIS 055 Purchase Order Assigned by FAMIS 057 Encumbrance Begin Year Carry Forward Special FAMIS Processing 058 Regular Encumbrance User Defined 059 Current Year Encumbrances (budget check, regardless of flags) Special FAMIS Processing E5x Blanket Wage Encumbrances Assigned by FAMIS FAMIS Transaction Codes (cont’d) Financial Accounting Transaction Codes (cont’d) 06x – Journal Entries (Screens 14, 14A, 25, 35, 36, 37, 85, 86) 060 Real Journal Entries User Defined 061 JE for IDTs Assigned by FAMIS 062 JE for Cash Sales/Payments on Receivables (overrides freeze) Assigned by FAMIS 063 JE from Student Feeds Assigned by FAMIS 064 JE from Payroll Feeds Assigned by FAMIS 065 JE from Accounts Receivable (create receivable) Assigned by FAMIS 066 JE from Fixed Assets (capitalization, etc) Assigned by FAMIS 067 JE from LMS (Loan Management System) Assigned by FAMIS 068 JE from Accounts Payable (setting up liabilities) Assigned by FAMIS 069 Compound Journal Entries (system controlled) Assigned by FAMIS 06A JE for Procurement Card Entries Assigned by FAMIS 06C JE for Concur (eTravel) Entries Assigned by FAMIS 09x – Beginning Balances, Bank Transfers (Screen 15) 090 Bank Transfers Special FAMIS Processing 098 Beginning Balances Special FAMIS Processing A/P Voucher 14x – Regular Vouchers (Screens 104, 111, 112) (Invoicing Screen 345) 140 Regular Vouchers User Defined 141 Regular Vouchers User Defined 142 Produce Separate Checks for Vouchers User Defined 143 State Travel Vouchers Special FAMIS Processing 147 Revolving Vouchers Assigned by FAMIS 148 Change Source of Funds Assigned by FAMIS 149 Force Separate Check Special FAMIS Processing 15x – Credit Memos (Screen 108) (Invoicing Screen 340) 151 Regular Credit Memo User Defined 152 Regular Credit Memo User Defined 159 Forces Separate Credit Memo (only matches when used on same voucher as charges) Special FAMIS Processing 16x – Prepaid Vouchers (Screen 109) (Invoicing Screen 345) 160-164 Prepaid Voucher (Regular) with reconciliation User Defined 165 Prepaid Voucher with NO reconciliation (does a JE to cash voucher clearing and does not affect the bank) Assigned by FAMIS 166 Prepaid Voucher with NO reconciliation (offset to the bank) Assigned by FAMIS 167 Prepaid Revolving Voucher Assigned by FAMIS 169 Prepaid Cash Voucher User Defined 17x – Prepaid Credit Memo (Screen 116) (Invoicing Screen 340 and 345) 170-174 Prepaid Credit Memo with reconciliation User Defined 176 Prepaid Credit Memo with NO reconciliation (no offset to the bank) User Defined 175 NOT USED User Defined 177-179 Prepaid vouchers with reconciliation User Defined K:\FA\DOC\WRKNPRCS\Charts for Manuals\FAMISTransactionCodesNF.docx Rev. 5/8/2012 FAMIS Session Batch Header Codes A session/batch reference code is used to group sessions of like transactions. The first three (3) characters typically identify the type of transactions entered during the session. For example, ARP001 would signify an Accounts Receivable Payment transaction. We recommend that FAMIS users use these batch header codes where appropriate. ACCOUNTS PAYABLE IDTs AP ACH APA FAMIS ASSIGNED Regular IDT AP Check APC FAMIS ASSIGNED Corrections IDC AP State Voucher APV FAMIS ASSIGNED Gift Fees FEE Fee FEE Interface IDTs (dept. code) Ex: PHPLxx Travel TRV Corrections-Travel TRC Visa/MC Charges VMC Purchase PRV Interagency Payments IAP Prepaid Vouchers PPV JOURNAL ENTRIES Corrections- Purchase PVC Regular JEN Delete Vouchers DEV Corrections JEC Housing Interface HSG FAMIS ASSIGNED Investments JIN SIMS Interface SIMS FAMIS ASSIGNED PAYROLL Miscellaneous MDS EPA Adjustments EPA FAMIS ASSIGNED Procurement Card PCC FAMIS ASSIGNED Insurance Billing INS FAMIS ASSIGNED Corrections-Payroll CPR Insurance Equity Transfer INEQ FAMIS ASSIGNED ACCOUNTS RECEIVABLE Payroll PAY FAMIS ASSIGNED AR Accounting Feed FAR FAMIS ASSIGNED Payroll Auto Adjustment SEAA FAMIS ASSIGNED AR Payments ARP FAMIS ASSIGNED Salary Encumbrance SEN FAMIS ASSIGNED BANK TRANSFERS Salary Savings SSV FAMIS ASSIGNED Bank Transfers BTR FIXED ASSETS (FFX) BUDGET FFX Accounting Feed FFX FAMIS ASSIGNED Budget Brought Forward BBF FAMIS ASSIGNED FFX Depreciation Fee FFD FAMIS ASSIGNED Beginning Entries BEG SPONSORED RESEARCH (SPR) Regular BJN Indirect Cost INDZ FAMIS ASSIGNED Original Budgets BUD SUSPENSE Generated Exp Budget GEB FAMIS ASSIGNED Suspense SUS CASH RECEIPTS Cashier Deposits-Depts CDP Corrections Receipts CRC Departmental Deposits DDP Distribution to S/L DTR Gifts GIF Interest INT Investment Sales INS Letter of Credit LOC Miscellaneous MDP V/MC Charge Back CBK V/MC Deposits VDD ENCUMBRANCE Encumbrance ENC FAMIS Reference Codes Currently, there are four different reference codes used in FAMIS. Specific transactions are associated with these codes. Each transaction code is identified below, along with related transactions. Samples of Screen 23 have been used to show each reference code with related transactions. Reference # 1 FIELD RELATED TRANSACTIONS CODE TYPE OF DATA or # TYPE REF 1 Encumbrances Vouchers Credit Memos Prepaid Vouchers Prepaid Credit Memos Revolving Vouchers Revolving Prepaid Vouchers Change Source of Funds Multi Vendor Vouchers (SL and GL) 05x 06x PO # or Doc # Budget (SL) Budget Transfer 02x Budget # Beg Balance # 098 Beginning Balance (GL) AFR # 060 AFR Entries/Reversals (SL and GL) Screen 23 – Transaction Inquiry by Account (Panel 1) 023 Transaction Inquiry by Account 09/20/11 14:18 VET MED - TEACHING HOSPITAL FY 2012 CC 02 Screen: ___ Account: 144013 4010 Ref: 1 Direct/Indirect: D Bank Option: N Sbcd TC Ref 1 Date Description Amount I BatRef Offset Acct ---- --- ------- ----- ------------------ --------------- - ------ ----------- 4010 061 A122411 08/31 KINGDOM ALLIANCE L 17.99- N RYR217 014400 2101 4010 051 A122411 08/31 KINGDOM ALLIANCE L 17.99 D RYR217 4010 061 A122422 08/31 KINGDOM ALLIANCE L 17.99- N RYR217 014400 2101 4010 051 A122422 08/31 KINGDOM ALLIANCE L 17.99 D RYR217 4010 068 A122411 09/12 KINGDOM ALLIANCE L 17.99 F PVP332 014400 2100 4010 068 A122422 09/12 KINGDOM ALLIANCE L 17.99 F PVP332 014400 2100 4010 055 045071A 09/16 DELL MARKETING L P 306.33 D ZP0916 4010 068 045071A 09/19 DELL MARKETING L P 306.33 P PVP342 014400 2100 4010 055 045508A 09/20 DELL MARKETING L P 101.19 D ZP0920 4011 061 A122412 08/31 TEAM SYSTEMS INC 585.00- N RYR217 014400 2101 4011 051 A122412 08/31 TEAM SYSTEMS INC 585.00 D RYR217 4011 054 L200100 09/01 PD MORRISON ENTERP 165.92 D PUR001 4011 068 A122412 09/12 TEAM SYSTEMS INC 585.00 F PVP332 014400 2100 4011 068 L200100 09/19 PD MORRISON ENTERP 165.92 F PVP342 014400 2100 * Continued * Enter-PF1---PF2---PF3---PF4---PF5---PF6---PF7---PF8---PF9---PF10--PF11--PF12--- Hmenu Help EHelp View DLoad Left Right FAMIS Reference Codes (cont’d) Reference # 2 Reference 2 is almost always assigned by FAMIS. In most cases, this will be the voucher number. There are various ways to view or report data by this reference number. FIELD RELATED TRANSACTIONS CODE TYPE OF DATA or # TYPE REF 2 Disbursements Vouchers Credit Memos Prepaid Vouchers Prepaid Credit Memos Revolving Vouchers Change Source of Funds Multi-Vendor Vouchers Revolving Prepaid Vouchers 068 Voucher # Interdepartmental Transfers Receipts 030 061 Bill # or Receipt # A/R Addt’l Line Item Entry A/R Line Item Adjust A/R Line Item Payment A/R Invoice Encumbrance (SL) 05x Document # AFR Entries/Reversals (SL and GL) 060 Document # DBR Budget Transfer 022 DBR Document # Screen 23 – Transaction Inquiry by Account (Panel 1) 023 Transaction Inquiry by Account 09/20/11 14:19 VET MED - TEACHING HOSPITAL FY 2012 CC 02 Screen: ___ Account: 144013 4010 Ref: 2 Direct/Indirect: D Bank Option: N Sbcd TC Ref 2 Date Description Amount I BatRef Offset Acct ---- --- ------- ----- ------------------ --------------- - ------ ----------- 4010 061 A122411 08/31 KINGDOM ALLIANCE L 17.99- N RYR217 014400 2101 4010 051 A122411 08/31 KINGDOM ALLIANCE L 17.99 D RYR217 4010 061 A122422 08/31 KINGDOM ALLIANCE L 17.99- N RYR217 014400 2101 4010 051 A122422 08/31 KINGDOM ALLIANCE L 17.99 D RYR217 4010 068 1601146 09/12 KINGDOM ALLIANCE L 17.99 F PVP332 014400 2100 4010 068 1601156 09/12 KINGDOM ALLIANCE L 17.99 F PVP332 014400 2100 4010 055 045071A 09/16 DELL MARKETING L P 306.33 D ZP0916 4010 068 1604551 09/19 DELL MARKETING L P 306.33 P PVP342 014400 2100 4010 055 045508A 09/20 DELL MARKETING L P 101.19 D ZP0920 4011 061 A122412 08/31 TEAM SYSTEMS INC 585.00- N RYR217 014400 2101 4011 051 A122412 08/31 TEAM SYSTEMS INC 585.00 D RYR217 4011 054 L200100 09/01 PD MORRISON ENTERP 165.92 D PUR001 4011 068 1601148 09/12 TEAM SYSTEMS INC 585.00 F PVP332 014400 2100 4011 068 1603905 09/19 PD MORRISON ENTERP 165.92 F PVP342 014400 2100 * Continued * Enter-PF1---PF2---PF3---PF4---PF5---PF6---PF7---PF8---PF9---PF10--PF11--PF12--- Hmenu Help EHelp View DLoad Left Right FAMIS Reference Codes (cont’d) Reference # 3 Reference 3 is less used than the others. There are some transactions where you will see entries in Reference 3. There are various ways to view the data for this reference number. FIELD RELATED TRANSACTIONS CODE TYPE OF DATA or # TYPE AUTO OR MANUAL REF 3 AP Disbursements (GL) Prepaid Vouchers 04x 068 AP Check # A Receipts Disbursements 03x 04x Teller # (if manually entered) M Screen 23 – Transaction Inquiry by Account (Panel 1) 023 Transaction Inquiry by Account 09/20/11 14:20 VET MED - TEACHING HOSPITAL FY 2012 CC 02 Screen: ___ Account: 144013 4010 Ref: 3 Direct/Indirect: D Bank Option: N Sbcd TC Ref 3 Date Description Amount I BatRef Offset Acct ---- --- ------- ----- ------------------ --------------- - ------ ----------- 4075 068 09/19 SYNTHES (USA) 481.10 P PVP342 014400 2100 4075 068 09/19 DYNATRONICS CORP 115.78 P PVP342 014400 2100 4075 055 09/20 SYNTHES (USA) 1,023.31 D ZP0920 4090 055 09/16 DELL MARKETING L P 286.90 D ZP0916 4090 068 09/19 DELL MARKETING L P 286.90 P PVP342 014400 2100 5110 060 J200005 09/12 CENTREX CHARGE: 02 86.67 N 1828EA 144004 5110 5115 060 J200006 09/12 CENTREX CHARGE: 02 748.33 N 1828EA 144004 5115 5115 060 J200007 09/12 CENTREX CHARGE: 02 241.20 N 1828EA 144004 5115 5130 061 0495504 09/06 CORE IPAY 20112490 360.00 OSJ250 001004 1610 5130 060 J200008 09/12 CENTREX CHARGE: 02 42.09 N 1828EA 144004 5130 5130 060 J200009 09/12 CENTREX CHARGE: 02 30.39 N 1828EA 144004 5130 5145 060 J200010 09/12 CENTREX CHARGE: 02 96.48 N 1828EA 144004 5145 5145 060 J200011 09/12 CENTREX CHARGE: 02 91.45 N 1828EA 144004 5145 5155 060 J200012 09/12 CENTREX CHARGE: 02 8.57 N 1828EA 144004 5155 * Continued * Enter-PF1---PF2---PF3---PF4---PF5---PF6---PF7---PF8---PF9---PF10--PF11--PF12--- Hmenu Help EHelp View DLoad Left Right FAMIS Reference Codes (cont’d) Reference # 4 Reference 4 is typically used by departments to identify transactions by a number that is meaningful to them. There are various ways to view or report data by this reference number thereby aiding the departments to work with their accounting data. FIELD RELATED TRANSACTIONS CODE TYPE OF DATA or # TYPE REF 4 Vouchers Credit Memo Prepaid Vouchers Prepaid Credit Memos Revolving Prepaid Vouchers Change Source of Funds Multi-Vendor Vouchers 068 Department Voucher # A/R Additional Line Item Entry A/R Line Item Adjust A/R Line Item Payment 022 A/R Payment Check # AFR # 060 AFR Entries/Reversals (SL and GL) Screen 23 – Transaction Inquiry by Account (Panel 1) 023 Transaction Inquiry by Account 09/20/11 14:21 VET MED - TEACHING HOSPITAL FY 2012 CC 02 Screen: ___ Account: 144013 4010 Ref: 4 Direct/Indirect: D Bank Option: N Sbcd TC Ref 4 Date Description Amount I BatRef Offset Acct ---- --- ------- ----- ------------------ --------------- - ------ ----------- 4010 061 14387 08/31 KINGDOM ALLIANCE L 17.99- N RYR217 014400 2101 4010 051 14387 08/31 KINGDOM ALLIANCE L 17.99 D RYR217 4010 061 14354 08/31 KINGDOM ALLIANCE L 17.99- N RYR217 014400 2101 4010 051 14354 08/31 KINGDOM ALLIANCE L 17.99 D RYR217 4010 068 14387 09/12 KINGDOM ALLIANCE L 17.99 F PVP332 014400 2100 4010 068 14354 09/12 KINGDOM ALLIANCE L 17.99 F PVP332 014400 2100 4010 055 4676212 09/16 DELL MARKETING L P 306.33 D ZP0916 4010 068 4676212 09/19 DELL MARKETING L P 306.33 P PVP342 014400 2100 4010 055 4723697 09/20 DELL MARKETING L P 101.19 D ZP0920 4011 061 14158 08/31 TEAM SYSTEMS INC 585.00- N RYR217 014400 2101 4011 051 14158 08/31 TEAM SYSTEMS INC 585.00 D RYR217 4011 054 14110 09/01 PD MORRISON ENTERP 165.92 D PUR001 4011 068 14158 09/12 TEAM SYSTEMS INC 585.00 F PVP332 014400 2100 4011 068 14110 09/19 PD MORRISON ENTERP 165.92 F PVP342 014400 2100 * Continued * Enter-PF1---PF2---PF3---PF4---PF5---PF6---PF7---PF8---PF9---PF10--PF11--PF12--- Hmenu Help EHelp View DLoad Left Right K:\FA\DOC\WRKNPRCS\Charts for Manuals\FAMISReferenceCodesNF.docx Flag Maintenance Definitions GL Flags Delete Flag The delete flag, when set to “Y” (on), restricts any further activity against an account. It can only be set at the 6-digit level. It logically removes the account from the files, but continues to store it for audit purposes. A delete flag for a 6-digit GL account can be set to “Y” and then set to “N” to reinstate the account. Before a delete flag can be set for a GL account, the following conditions must be met: (1) Each asset, liability and fund balance record must have a zero balance. (2) All SL accounts mapped to the GL must be deleted. (3) The account must have been inactive for the current month. FAMIS doesn’t allow an account that has had activity processed during the current month to be deleted. The account can be deleted after the current month-end process has been run. Attempts to process real time transactions against a deleted account are rejected. Drop Flag The drop flag is used to identify an account that is to be physically purged from the file. when the drop flag is set to “Y” (on), the account is removed from the file. The drop flag can be set for a 6-digit GL account only if the following conditions are met: (1) The delete flag on the GL account must already be set to a value of “Y.” (2) All SL accounts mapped to the GL account must have both the delete and drop flags set to “Y.” The drop flag may also be set on a 10-digit account, with the additional condition that the 10- digit account must have a zero balance in all dollar fields (i.e., Beginning balance, Current month, Present balance, etc.). Freeze Flag The freeze flag restricts posting certain types of direct transactions to an account. This flag may be set ONLY at the 6-digit GL level. Cash receipts, disbursement and journal entries are rejected if processed against a "frozen" account. Transactions that are accepted against a frozen GL account include attribute modifications, journal entries with a special transaction code of 062 and indirect updates. All transactions posted against a frozen account generate diagnostic messages. Flag Maintenance Definitions (cont’d) SL Flag Definitions Seven flags help control activity against each SL account. These flags allow review, freezing, deleting or dropping of an account, suppressing "over budget" messages, and controlling automatic budget reallocation (ABR). Flags may be set to “Y” (on) or “N” (off). Freeze Flag The freeze flag restricts posting certain types of direct transactions to an account. The following transactions will be rejected or suspended if processed against a frozen SL account: • original budgets • encumbrances (except credit encumbrances) • cash receipts • cash disbursements • journal entries, except those with a transaction code of 062. The following transactions will still be accepted if processed against a frozen SL account: • - attribute modifications • - budgets (excluding original budgets) • - credit encumbrances against an existing OC or Purchase Order • - disbursements liquidating outstanding commitments • - journal entries with a transaction code of 062 All transactions processed against a frozen account generate diagnostic messages. Delete Flag The delete flag, when set to “Y” (on), restricts all further activity against an account. It can only be set at the 6-digit level. It logically removes the account from the files but continues to store it for auditing and comparative reporting purposes. the account can be reinstated by setting the flag to “N” (off), unless the delete flag for the related GL account is on. Before the delete flag can be set, the following conditions must be met: (1) The budget balance available must be zero (0). (2) There can be no outstanding or open encumbrances against the account. (3) The account must have been inactive during the current month. The system will not delete an account that has had activity during the current month. Flag Maintenance Definitions (cont’d) Drop Flag The drop flag identifies an account that is to be physically purged from the file. When the drop flag is set to “Y” (on), the account is removed from the file. It is recommended that an account not b dropped except at the end of the fiscal year, or if the account was created in error and has no dollar activity. Before the drop flag can be set, the delete flag for the account must be set to “Y” (on). Annual Budget Reallocation (ABR) The ABR flag specifies the automatic budget reallocation rule that applies to the account (set to 001-009). Flag Maintenance Definitions (cont’d) Glossary A ABR See Automatic Budget Reallocation. ABR Pool Table A user-defined table assigning rules for budget pools and the subcode ranges participating in each pool. Account A functional unit, identified by an account ID that serves a particular accounting purpose where one person has primary responsibility for it. Accounts include balance sheets (GL) and revenue/expenditure accounts (SL). A building (in the Plant Funds area) is an example of a General Ledger account and the President’s Office is an example of a Subsidiary Ledger account. Account Control The last four digits in the ten-digit account number for a General Ledger account. The account control designates a specific asset, liability, fund balance, fund addition, fund deduction or summary control. Account ID A 6-digit identification number for an account. Account Number A 10-position ID within the master file of the Financial Records System. The first 6 positions identify the specific account while the last four positions identify the account control for a balance sheet account (GL) and the object code for a revenue or expenditure account (SL). Accounts Payable An application of the Financial Records System (FRS). AP processes vendor payments and keeps track of financial activity involving vendors. Action/Context Line The screen line (usually fourth from the top) or lines into which the screen to be accessed and the key of the data to be addressed are input and displayed. Alias A commonly used name for a vendor, other than the formal customer name (primary name), that prints on the check. The Purchasing System also offers a commodity alias name and permits you to define any number of alias names once a vendor has been created. AP See Accounts Payable. Attributes Descriptive data associated with a record. Examples are school, department, function, name, and responsible person. Attributes support a variety of sophisticated reporting techniques. Automatic Budget Reallocation (ABR) When transactions are entered, a process by which the system automatically transfers budget dollars from predefined budget pools to specific object codes. B Bank Transfer A movement of cash from one bank account to another. This allows expenditures at specific object codes to share in a single pool of money. Appendix – Glossary (cont’d) Batch/Session A collection of related transactions input to the system with a header record and control totals, usually prepared by one person or subsystem feed. Batch Interface A type of interface where one system generates transactions to be batched for input into another system. BBA See Budget Balance Available. Beginning Balance Balances posted during implementation. Budget A plan of revenue and expenditures for an accounting period expressed in monetary terms. Budget Balance Available (BBA) That portion of budget funds that is unspent and unencumbered. Budget Fiscal Year Budgets are prepared in one fiscal year for the next fiscal year. The default is always the next fiscal year when using any Budget Preparation screen. Budget Pattern Used to group individual object codes (or ranges), into budget categories to establish new fiscal year budget. Tracks current and past year account activity in order to develop the new fiscal year budget. Budget Pool A budget summarized at significant levels of revenue or expense. A single pool of money defined for use by specific object codes. Budget Version Various versions of a budget can be created and names for comparative purposes. Buying Account Account which is allowed to “purchase” from a specific selling account via an interdepartmental transfer. C Capital Assets, cash, means, property, resource. Cash Coins, currency, checks, and anything else a bank will accept for immediate deposit. Cash Disbursement A non-vouchered payment for goods received, services rendered, reduction of debt or purchase of other assets. Cash Receipt Cash received from cash sales, collections on accounts receivable and sale of other assets. Chart of Accounts A listing, at the 6-digit level, of all account numbers within FAMIS. Sometimes the COA defines the accounts at the 10-digit level as well. Appendix – Glossary (cont’d) Check Override The capability to bypass, on an individual-voucher basis, controls that were previously set for all vouchers. Claim-On-Cash The share of ownership that an account has in the institution’s money. Clearing Account A temporary summary account (such as a payroll account) which is periodically set to zero. COA See Chart of Accounts. Compound Journal Entry A two-sided transaction that posts debits and credits. Context The information that identifies the record being displayed or to be displayed by the system. Copy The process that creates a new pattern from an existing version (specified on the Action Line) or ABR (specified in the resulting pop-up screen). Credit Memo The reduction of a payable previously paid or still open. A credit memo may result from overpayment, overbilling, or the return of goods. Currency Code A code that identifies a record in the Tax Currency Table. This record provides the factor to calculate foreign currency conversion costs or gains and the liability account used. The code is translated through a table into a conversion rate. Cycle Two or more programs that are run in a specific sequence. D Data Data are representations, such as characters, to which meaning might be assigned. They provide information and can be used to control or influence a process. This term is not synonymous with information. Information is data to which meaning has been assigned. Database The collected information that is accessible to the computer for processing. Data Control The tracking of input, processing and output, and the comparing of actual results to expected results in order to verify accuracy. Data Element HELP An online feature that assists the user by providing immediate information about any particular field on a screen. Data Entry A means for adding information into the system. Default The value that the system will assign if no other value is entered. Appendix – Glossary (cont’d) Default Mandatory Flag indicating whether the transfer is mandatory. If no value is entered in the detail lines for this field, the transfer will be flagged with the default value after pressing . Delete Flag A data element whose condition signifies that a document will be permanently removed from the database during the next archive cycle. Demand Voucher Voucher to be paid during the next Check Cycle. Diagnostic Message HELP An on-line feature that assists the user with data entry by providing an explanation of a message and the appropriate action to take. Diagnostics The messages that describe the results of processing. These messages may indicate an error and provide information about a process by noting what action to take to correct the error. Digit 3 of TC The third digit of the Transaction Code (Entry Code) which specifies the type of transaction. Disbursement Record money paid out by the institution from GL, SL and SA or bank account. Can reverse an encumbrance. A payment for goods received, services rendered, reduction of debt or purchase of other assets that does not go through the AP/voucher system. Discount Account The account credited for discounts taken by the system when a check is written. Discount Table A table containing user-defined values representing discount terms for vendors. Dollar Data A record of the dollar amount and the type of financial transactions posted to an account. Dollar Limit A code used in Accounts Payable to specify a check amount. If the amount of a vendor’s check is greater than this value, the check will not be generated. Drop Flag A data element whose condition signifies that a document is to be removed from the database immediately. E Encumbrance An obligation incurred in the form of a purchase order or contract; also referred to as an open commitment. Endowment Funds received by an institution from a donor who specifies the condition that the principal not be spent. Endowment Income The income generated by investing the principal of an Endowment Fund. Appendix – Glossary (cont’d) Entry Code The initial three-digit code on a transaction that denotes the transaction type. This code, which is mandatory for all FRS transactions, is predefined by the system. It is also known as the Transaction Code. Expended Depleted, used up. Expense Cost, disbursement, payments. F FA See Financial Accounting. Feed Transactions from other systems that are transferred to the FRS. Field That part of a control record, transaction or established for displaying or entering information. File A storage area established within a computer system or database for organizing similar kinds if data. Financial Accounting (FA) A Financial Records System application that balances the General and Subsidiary ledgers while providing a complete audit trail of all transactions. Financial Records System (FRS) A system that supports the financial record-keeping and reporting of a college or university. Flag A data element used to set controls or conditions on a process or program. Freeze Flag A data element whose condition signifies that new transactions cannot be posted. This includes no feeds or invoice postings for this document. FRS See Financial Records System. FTE Full-time Equivalents. Used by the B/P/P System. Function Purpose. Fund An accounting entity (a 6-digit GL account) with a self-balancing set of 10-digit accounts for recording assets, liabilities, a fund balance and changes in the balance. Fund Balance The equity of a fund (the difference between assets and liabilities). Fund Group A related collection of funds (6-digit GL accounts). Examples include Current Unrestricted, Current Restricted, Loan, Endowment, Annuity and Life Income, Plant, and Agency. Appendix – Glossary (cont’d) Fund Group ID A one-digit identification number representing the fund group with which an account is associated. Fund Transfer A movement of dollars from one fund balance to another. G General Ledger (GL) A balance sheet account for the institution. All GL account numbers begin with “0” (zero). GL See General Ledger. GL/SL Relationships User-defined structures relating Subsidiary Ledger (SL) revenue/expense accounts to General Ledger (GL) fund accounts. Global Subcode Edit (GSE) A system edit that checks each new 10-digit account against a table that specifies valid combinations of 6- digit accounts and subcodes. GSE See Global Subcode Edit. H Header That portion of a Purchasing document containing basic information such as document number, date, and amount. HEAF Indicates a Higher Education Assistance Fund code number. HELP An online feature which accesses PREDICT in order to supply descriptions, valid values and suggested actions. I IDT Interdepartmental Transfer. Indirect Updating The automatic posting of real dollar activity to a GL Balance Sheet account as a result of a direct transaction. Inquiry Screen A screen which only displays information and cannot be used for entering data. Interface A communication link between data processing systems or parts of systems that permits sharing of information. Interfund Borrowing The transfer of an asset or liability from one fund to another. J JCL See Job Control Language. Appendix – Glossary (cont’d) Job Control Language (JCL) A problem-oriented language used in IBM that expresses the statements of a processing job. It is also used to identify the job or describe its requirements, usually to an operating system. Journal Entry A non-cash transfer of dollars between two or more accounts. L Ledger A collection of account records for an organization. FRS contains two ledgers: the GL (balance sheet) and the SL (revenue and expense). See also General Ledger and Subsidiary Ledger. Liability Account In AP, a GL account that is credited for the liability when a voucher is processed. Any GL account that accepts a transaction creating a liability. Liquidate Reduce encumbrance through payment; pay off debt. M Map Code A five-digit attribute code in an SL account indicating the GL Fund ID to which it relates. Mandatory Flag indicating whether the transfer is mandatory. If no value is entered in the detail line(s) for this field, the transfer will be flagged with the default value after pressing . Memo Bank Account An account that represents the balances of demand deposits for operating accounts. Menu A screen containing a list of available processes, screens or other menus. N Name Rotation A feature that allows users to print a vendor name in one format on checks and then rotate it to another format for sorting on reports. O Object Code A four-digit number identifying specific items of revenue/expense or attribute records. Open Commitment An encumbrance. P Parameter A variable that is assigned a constant value for a specific purpose or process. It provides the user with defined choices for report selection, processing or output requirements. Purpose The function. Appendix – Glossary (cont’d) R Receipts Cash received from cash assets, collections on account receivable and sale of other assets. The purpose is to record money received by the institution to the GL, SL and SA or bank accounts. Recommendation The budget projection version that is submitted to the Budget Office for approval. Regular Order A type or purchase order that denotes a typical order. Remit-To Address The address to which the check for goods and/or services rendered will be sent. Requisition A type of document that internally requests goods and/or services to be acquired. It must be authorized before being converted to a purchase order. Retention Months A data element defined when creating a vendor. This indicates the number of months a vendor is to be maintained on file after all outstanding items have been paid or reconciled. Revenue Income or receipts. Run Parameter A parameter from a control record or a program control transaction (as opposed to a file maintenance transaction). S Save The process that creates a budget version. 6-Digit Account For GL: An entity that consists of a self-balancing set of 10-digit accounts. For SL: An entity of revenues and/or expenses Screen HELP An online feature that assists the user with data entry by providing information on the purpose and operation of a particular screen. Secondary Vendor The vendor record holding the multiple addresses that are used periodically, as opposed to the primary address. Secured Submitted Version Submitted budget version that has been locked. It can be flagged to indicate it is an “official” version. Selling Account Account which is allowed to “sell” to specified buying accounts via interdepartmental transfers. Session A control mechanism to track real-time posting of a group of financial transactions is order to provide an audit trail. Appendix – Glossary (cont’d) SL See Subsidiary Ledger. Split Encumbrance An encumbrance which applies to several accounts. Standing Order A type of purchase order used for reoccurring services like those provided by the telephone and electric companies. Subcode Four digits appended to the account ID to identify attributes and dollar records within an account. Submit The process that attached a budget version to a budget account as a budget of an account. Submitted Version Version of the budget submitted for approval as the official budget of an account. Subsidiary Ledger Revenue and expenditure accounts for the institution. All SL account numbers begin with a ledger number of 1 through 9. Suspense Account A GL clearing account reflecting real dollar activity directed to the Suspense File. T 1099 Vendor A vendor (usually a consultant or professional service hired by an institution) whose payments must be reported to the IRS on Form 1099. 1099 Voucher A voucher that must be reported to the IRS on Form 1099. 10-Digit Account The six-digit account ID combined with the four-digit subcode, i.e. an account control or object code. Tax Code A code that identifies a record in the PO Tax Table (for the Purchasing System) and in the Tax Currency Table (for Accounts Payable). The code must be the same for both tables. This record contains the tax percentage and the tax liability account to be used. Tax ID A Social Security Number or Federal Employer Identification Number that is available for 1099 report preparation. Taxes An additional charge on the acquisition of goods that is imposed by the taxing authority and should be paid with the invoice. Temporary Vendor A vendor from whom only one purchase or service is required. No further transactions, for this vendor, are expected. Appendix – Glossary (cont’d) Transaction Code A three-digit code that uniquely identifies a transaction type and determines editing criteria and dollar fields to be updated. U Update Screen A screen that allows a user to enter data for updating the files. V Valid Value A value of a data element that has been defined for input. Value-Based A mechanism used to restrict operator access to information by comparing operator security authorization with the value stored in the field. Vendor A provider of goods and/or services. Vendor Addresses See Order-From Addresses and Remit-To Addresses. Vendor Automatic A feature that automatically assigns a specific Number Assignment to the vendor on the Action/Context Line. Vendor Commodity A good or service purchased from a specific vendor. Vendor File A record of all attributes, dollar data, and control information for all vendors. Version Account Budgets created by departments. These can later be submitted as the budget recommendation for the account. Once a version is locked, it will be called a “secure version” and can never again be changed. K:\FA\DOC\WRKNPRCS\DEPT-ACT\DeptAcctcurrNF.docx