SAO FINANCIAL REPORTING. by Karen McLaine Financial Management Department October 24 th, 2017

Similar documents
UDW+ Guide to S01.-S14. Standard Reports 2013 Version 1.3

MANAGEMENT-LEVEL FINANCIAL REPORTS

Grants Toolkit. Contents. Budget Checking Error Troubleshooting

Version 1.5. UDW+ Guide to Financial Dashboards and Standard Reports. Program Services Office & Decision Support Group

Woods Hole Oceanographic Institution Finance & Administration Record Retention

Last Revised: 1/28/11. Finance Data Warehouse Dashboard and Report Guide OPERATIONS

State Analytical Reporting System (STARS)

Account Reconciliation Training

F.A.B. Frequently Used Terms

Fundamentals: Introduction to Unallowable Costs at MIT

Finance Reporting in InfoPorte. As of August 2018

UNIVERSITY OF ARIZONA SUBRECIPIENT MONITORING GUIDE

End User Query Listing As of March 31, Query Name Query Description Purpose

NAVIGATING FMS NQUERY

Award Close Out Procedures

Deleting PeopleSoft Cache Files

Financial Reporting Training. Office of the Controller

Subrecipient monitoring responsibilities are shared among the following:

Subrecipient Monitoring & Risk Assessment Guidelines

Quick Reference Guide: Generating General Fund Budget Reports

Finance Notes & News VITA Program. Annual IRS Tax Forms. Reimbursement Preparation Reminder

Accounting Overview Training

Year End Closing for FY 2013

Glossary. Account The chartfield used to classify the nature of the balance sheet, revenue, expenditure, transfer or budget financial transaction.

Contracts and Grants Billing Audit

YEC PROCESS TRAINING. Business Affairs Financial Accounting & Analysis

Receiving and Depositing Money

Navigating Research Webforms April 15, 2015

General Ledger Reports Manual PSFIN V8.9

Reports in Workday Financials

Finance Data Warehouse Phase 2 (FDW-P2) Training. November 2015

Controller s Office General Accounting Fiscal Year End Deadlines and Guidance. June 9, 2016

TO: Administrators DATE: January 27, 2014

The University Maryland Baltimore County

Kuali Financial Systems (KFS) and edata Glossary of Terms

General Accounting Policies & Procedures

Account Management and Transaction Review

Payroll Office. Effort Certification. A final FY2018 payroll will be run on Friday, July 6, 2018 to process June ECR s and salary transfers.

CONTROLLER S R FINANCIAL ADMINISTRATION MEETING. October 31, 2007

The University of Texas at San Antonio

Finance 237/287 High Street Middletown, CT 06459

Management. Principles & Practices. Financial Services Division of Administration & Finance California State University, Fullerton

SERVICE CENTER GUIDELINES

Southeastern Louisiana University

XII. Reconciling Monthly Statements

GeorgiaFIRST Budget Structure. Commitment Control

UNIVERSITY OF MAINE SYSTEM INSTRUCTIONS FOR THE INTERIM GENERAL LEDGER CLOSE FY2014

WELCOME TO THE SOLAR FINANCIALS STATE TRUST FUND REFERENCE GUIDE.

University of Pittsburgh Research Accounting Project Close Out Processes and Procedures. Introduction Closing Process

Budgeting at Montclair State University

Atlas Financial Closure Instructions

Revision Control Date By Action Pages S Medrano Document created 7

Lunch & Learn Sponsored Projects

Finance 237/287 High Street Middletown, CT 06459

Integration - ADP/EV5 and PeopleSoft Financials

SUBJECT: Reports and Query Training Page 1 of 31

Understanding Budget Reports

64XX Finance & Accounting - List of Services Provided to Campus

OSP BRIEF MAY May 6, 2014 OSP Brief

Last Revised: 1/19/11. Finance Data Warehouse Dashboard and Report Guide MANAGE MY BUDGET

July 26, d Readiness Weekly Status Call. onesource.uga.edu

Monthly Financial Report (MFR) Reconciliation Process.

Oracle FSG & Standard Reports

Functional Line-Item Budget Review Based on Current FY 2011 Budget Chief Operating Officer

Funds Available Report of Transactions

The Life of a Grant Process Hierarchy

INCOME / EXPENSE MANUAL

Office of Finance and Administration Ad hoc Reports

University of Rhode Island PeopleSoft Grants 9.1

Administrators, Business Managers and Fiscal Operations Personnel

FMS View Expense Budget Information

Contract & Grant User s Group

Business Intelligence (BI) Budget Reports Training Manual

Administrators, Business Managers and Fiscal Operations Personnel

How to Closeout an Award

YEAR END TRAINING SESSION. Fiscal Year Ended June 30, 2014

Agency Account Policies & Procedures

2018 SRAI Annual Meeting October 27-31

A8.900 ACCOUNTING FOR RESEARCH & TRAINING CONTRACTS & GRANTS. A8.930 Services with the Research Corporation of the University of Hawai i

Expenditure Transfer (EXPTX) User Guide. A Comprehensive Overview

Thomas Liberto LCFF. Local Control Funding Formula

Rockdale ISD Accounts Payable Procedures

INTERNAL CONTROLS AND OTHER PROCEDURES

Budget Process Guide FY

Report and Menu Description What Does It Help Me Do? Available Training

Property, Plant and Equipment Policy and Procedure Manual

Treasury Division Finance Department Anchorage: Performance. Value. Results.

The Budget Transaction Detail Report provides detail information of the following transactions:

Account Management & Reporting Tools

Fund Accounting 101. March 11, :00 10:15 1:45 3:00

YEAR-END CLOSING WORKSHOP. District Financial Services

Wesleyan University: Finance Inquiry Training

Welcome to your new financial reports in Cognos reflecting PeopleSoft 9.2 data!

Managing Departmental Expenses and Revenue Budgets. Version Date: 1/2015

Introduction to MAP Grants Accounting

Table of Contents. PeopleSoft Chartfield Structure. Selected Chartfield Elements. Chartfield Conversion Tasks. Chartfield and Tree Considerations

Overhead Cost Controlling

Accounting on the Web Training. Accessing Financial Information Web ISRS Accounting Module

OPERATING REPORTS HANDBOOK

Report Basics. Where do I go for additional help? How do I navigate to the report?

Transcription:

SAO FINANCIAL REPORTING by Karen McLaine Financial Management Department October 24 th, 2017

Introduction SAO Financial Accounting Functions SI/SAO Financial Information Systems Financial Information Systems Support Financial Report Users

SAO Financial Accounting Functions Functions within SAO Financial Management Department: A. Financial and Budget Reporting Federal and Trust Funds Contract & Grants (C&G) Funds Management Reports (All Funding Sources) B. Budget Proposal Review C. Project Status Reporting D. Payroll & Central Engineering (CE) Rebill E. Rent & Communications/Telephones F. Accounts Payable (AP) and Vendor Maintenance G. Asset & Property Management H. Billing (C&G and Misc.) / Accounts Receivable (AR) I. Contracts & Grants Closeout J. Incurred Cost & Forward Pricing Proposals & Audit Support

SI/SAO Financial Information Systems Financial Systems used for financial accounting operations and reporting: SI Shared Systems: Peoplesoft Financial Enterprise Resource Planning (ERP) Systems webta Time & Attendance Systems Concur Travel Systems Earned Value Management Systems (EVMS) Tableau Business Intelligence (BI) & Analytics SAO Legacy Systems & Intranet: SAO Legacy Systems Rent & Communication sub-systems SAO Intranet shared drive used to publish reports from ERP & SAO Legacy Systems

Financial Information Systems (IS) Supports SAO FMD / AIS (Administrative Information Systems) Peoplesoft-ERP: erphelp@cfa Timecard: webtahelp@cfa General IS: ais@cfa SI OCIO (Office of the Chief Information Officer) ** Reports & systems design collaborations between SAO-FMD and SI-OCIO

Financial Report Users ADMINS FMD PI DO OSP OF&A OPMB SPONSOR AUDITOR NASA Internal: DMs, DAs & Fund Administrators Financial Management Department Principal Investigator Director Office SI-Office of Sponsored Projects SI-Office of Finance & Accounting SI-Office of Planning Management & Budgeting External: Awarding Agencies Auditor: KPMG SI/SAO Cognizance Agency (NASA) formerly Office of Naval Research (ONR)

SAO Financial Reporting:

A. Financial and Budget Reporting a. Federal and Trust Funds Fund 000, 100 & 120 Federal Funds Fund 401 Trust Overhead b. Contract & Grants Funds Fund 802 Non Government C&G Fund 803 Government C&G c. Management Reports - All Funding Source *All Federal & Trust Funds *All Contracts & Grants Funds Fund 402 Discretionary Funds Fund 420 Unit Auxiliary Activities (i.e. CE Cost Center, Whipple Dorm Fees) Fund 6xx Endowments Fund 801 Gifts

A. Financial and Budget Reporting a. Federal and Trust Reports: ADMINS FMD OF&A OPMB ERP-GLS8020 ~ Budget Status Current summary commitment control information (budget, revenue, pre-enc, encumbrance, expenditure, and available balance) by chartfields. ERP-SIGL111R ~ Fund Status by Fund/DSGC Monthly summary information (beginning balance, current year revenue, payroll & non-payroll costs, transfers, pre-enc, encumbrance, and available balance) for each fund (designated code) broken down by department. ERP-SIGL120R ~ SOFA Detail Monthly Summary of Financial Activity (SOFA) by chartfields; showing budget, actual expenditure, pre-enc, encumbrance, and variance amount. ERP-SIGL140R ~ GL Transaction List* Monthly or Fiscal-Year detailed transaction listings (requisition, PO, invoice/ voucher, and journal activity) with beginning & ending balances.

A. Financial and Budget Reporting b. Contracts & Grants Reports: PI ADMINS FMD ERP PI Portal* Current summary information (budget, revenue, pre-encumbrance, encumbrance, expenditure, and available balance) by chartfields. The portal also shows projected indirect costs for the current month (refreshed daily). ERP-SISP169R ~ Contracts/Grants PI Summary* Monthly summary for each awards showing inception-to-date award amount and budget as well as pre-encumbrance, encumbrance, expenditures, capital and management fee.

A. Financial and Budget Reporting b. Contracts & Grants Reports: (cont.) ADMINS FMD ERP-SIGL160R ~ Fund Status for Grants* Monthly fund status information (budget, actual expenditure, pre-enc, encumbrance, billed and unbilled amounts with available budget) as of an accounting period. ERP-SIGL161R ~ Fund Status Dept ID* Monthly fund status information broken down by department. This report is used for award that is shared by more than one department. ERP-SIGL140R ~ GL Transaction List* Monthly or Fiscal-Year detailed transaction listing (requisition, PO, invoice/ voucher, and journal activity) with beginning & ending balances.

A. Financial and Budget Reporting c. Management Reports: FMD DO Federal Reporting Quarterly report on salary and expense projections for all Federal funds. Trust Income and Detailed Expenses This report is generated on a monthly basis and includes: Summary of each division s/department s Trust overhead budget vs. expense along with other expense (i.e. rent & communications) Direct costs of government C&G by division (capturing details of large projects separately) Direct costs of non-government C&G by division Summary of other costs by fund (incl. gifts, endowment, development) Summary of income vs. expense and cost recovery from revenue Projections of annual costs and recovery

A. Financial and Budget Reporting c. Management Reports: (cont.) FMD DO Summary reports of IR&D and B&P Monthly summary report for individual projects which shows budget vs. actual expenditures and encumbrances as well as available balance. The report is used for assessing and planning resources. Management Fee Report Monthly report which detailed the current and cumulative management fee applied to a certain awards. It includes summary of management fee income and expenditure at the department level. The recommended management fee is 3% on contracts. The income is shared equally with the home division, DO and SI-Central Trust.

A. Financial and Budget Reporting c. Management Reports: (cont.) ERP-SITX100R ~ SAO TREX Report The SAO Trust Expense Tracking (TREX) is a monthly report of year-todate expenditures by designated code and major class group; including each type of indirect costs for fund codes 402, 420, 6xx and 8xx. SAO BLAST Report FMD FMD DO OPMB The Bottom Line Assessment of SAO Trust (BLAST) is a monthly summary report which includes: Trust Allotment expenditures (including IR&D and B&P) Income received from recovery of overhead on C&G by application of approved rates Waived overhead on C&G and institutionally-funded projects Home Office Allocation (HOA), which is the annual fee charged to SAO in support of efforts performed by SI

B. Budget Proposal Reports ADMINS FMD SPONSOR ERP-SIGM152R ~ Proposal Summary/Detail Budget Report Proposal Summary/Detail Budget Report is a detailed estimate and summary of project cost by person and major class. This report is generated out of the ERP Grants module from the information entered by the proposal coordinator. FMD financial analyst reviews the budget for accuracy and completeness before proposal submission. Earned Value Management Systems (EVMS) The EVMS is a pricing application used for complex proposals that require phase and work breakdown structure (WBS) reporting. The EVM Systems compiles data from Project Server/Project Professional, Cobra, SharePoint and Peoplesoft Financials (Payroll Bridge) for budgeting and forecasting.

C. Project Status Reports 533 Report Monthly and quarterly reports of actual expenses and estimated costs-tocomplete for large government contracts provided by SPS-Contracts to sponsors. EVMS Reports Reports from EVMS include budget, actuals (pre-encumbrance, encumbrance, and expense), forecast, as well as earned and computed Estimate-At-Complete (EAC). Tableau EVM Dashboard ADMINS FMD SPONSOR ADMINS FMD SPONSOR ADMINS Weekly and month-end data (including budget, forecast, actuals and earned) for all Central Engineering and major projects. Tableau presents summary and detail data in both graphical and columnar formats, with a variety of simultaneously selected filters. It can be downloaded into.pdf and excel file. PI

D. Payroll & Central Engineering (CE) Rebill ADMINS FMD ERP-SIPR115R ~ Employee Time Report WebTA hours report by chartfields and employee for a pay period. ERP-SIPR101R ~ Payroll Net Cost Listing Payroll cost distribution report by chartfields and employees for each pay period and month. ERP-SIPR108R ~ Payroll CE Rebill Listing CE rebill report by chartfields and employee for each month.

E. Rent & Communications / Telephone Rent Distribution & Occupancy Review ADMINS FMD Every month, expense are distributed (pro-rata) to the Trust OH, Federal, CE, and Development funds using SAO Legacy Systems and posted to ERP-GL. On the quarterly basis, administrators are asked to review/update the divisions /departments CfA office/lab occupancy and funding supports. Any changes go into effect at the start of new quarter. Telephone & Communication Distribution On a monthly basis a report detailing the land and cell phone lines are distributed to the admins for review. Minimum Lease Payment Schedule Annual report of SAO s Cambridge, MA lease commitments. Current & Future Federal Rent Projections ADMINS FMD FMD OPMB FMD OPMB Bi-annual report on Current & Future Federal Rent Projections.

F. Accounts Payable & PO Reports a. AP reports & queries FMD On a weekly basis, AP staffs in FMD run various error log reports and queries to resolve voucher errors and payment issues: SI Match Exception report List of vouchers with exceptions (PO/Receipt/Voucher match error). Voucher Budget Error query List of vouchers that are not passing budget check. Voucher Document Tolerance Error query: List of vouchers that are over the tolerance amount set on the PO. Voucher On-Hold query List of vouchers with payment, vendor or other issues such as returned payment, stop payment, incorrect vendor, etc.

F. Accounts Payable & PO Reports (cont.) b. PO report Travel Authorization ADMINS FMD ERP-SITA002R ~ E-Gov Travel Detail Report by Account* Current detailed PO report showing encumbrance, voucher payments, sponsored billing, and any repayment by traveler; sorted by travel activity (account code): Account 1415 Travel advance and any repayment by traveler Account 1416 Sponsored Travel airfare (CBT) and reimbursable expenses as well as billing Account 6100 Centrally Billed Travel (CBT) and reimbursable expenses

F. Accounts Payable & PO Reports (cont.) c. Other PO reports and Requisition/PO/Receipt queries ADMINS FMD ERP-SIPO003R ~ PO Lines by PO ID Current detailed PO report showing encumbrance, liquidation and voucher payment information by PO line/schedule/distribution as well as remaining balance on each distribution line. ERP-SIPO103R ~ PO History/Detail* Similar with PO Lines by PO ID report with additional accounting date, obligation history as well as summaries by PO line and by chartfields. ERP query ~ SAO_REQ_UNLIQ Unliquidated pre-encumbrance balance on the Requisition. ERP query ~ SAO_PO_UNLIQ Unliquidated encumbrance balance on the PO. ERP query ~ SAO_RECEIPTS_BY_PO All receipts entered against a PO.

G. Asset & Property Management Reports FMD AUDITOR SPONSOR ERP-SIAM027R ~ Financial Month-End Report List of all trust and federal assets by department ID, tag #, service date, acquisition cost, depreciation information, net book value, etc. The information is used at the detail level for multiple purposes related to expense reporting and asset management. There are other asset reports generated to support accountable property during the time of audit, additions, and disposition of assets, as well as reporting to the sponsors (if required) annually and at the time of project close out.

H. Billing (CG and Misc.) / AR Reports a. Contracts & Grants Billing FMD ADMINS OSP SPONSOR AUDITOR On a monthly basis, in conjunction with SI-OSP, FMD Billing specialist runs the billing process to produce: Pre-Invoice report Monthly Invoice Monthly Letter of Credit (LOC) Drawdown Invoice History report Quarterly Financial report b. Miscellaneous Billings Monthly Invoice for Sponsored Travel billing Monthly HCO Rebill for shared spaces at CDP &160 FMD Quarterly HCO Rebill for staffs SPONSOR

H. Billing (CG and Misc.) / AR Reports (cont.) c. ERP-SIAR304R ~ AR Aging Report* FMD Current AR report that classifies outstanding balance by sponsor and aging timelines (current due, 31-60 days, 61-90 days, 91-120 days etc.)

I. C&G Closeout Reports ERP-SISP171R ~ Closeout Report FMD ADMINS On a monthly basis, FMD staffs run the closeout report to identify and work with the Administrators on closing out awards that are nearing the award end-date/ budget status set to HOLD. During the closeout process of the award, the following reports are submitted: FMD SPONSOR Final Invoice SF 425 for LOC billing

J. Incurred Cost & Forward Pricing Proposals Schedule of Expenses of Federal Awards (SEFA) Annual report of government C&G is provided to SI Auditors and Cognizance Agency (NASA, formerly ONR). It is the basis for the Single Audit (formerly the A-133 Audit) under the Uniform Guidance (UG). The information is entered into the Federal Audit Clearinghouse by OSP. Since FY17, KPMG has performed the Single Audit for the Smithsonian Institution. OSP AUDITOR NASA Incurred Cost Proposal NASA AUDITOR Annual report of Trust direct & indirect costs that calculates the actual leave and indirect cost rates for the preceding fiscal year. The report is subject to external audit and is submitted to the SI/SAO Cognizant Agent (starting FY18 NASA, formerly ONR).

J. Incurred Cost & Forward Pricing Proposals(cont.) Forward Pricing Proposal NASA AUDITOR Biennial proposal of estimated Trust direct & indirect expenses for a twoyear period. Individual department, division and CE cost center budgets are aggregated and allocated across direct costs for contracts, grants and other internally funded activities in order to determine leave, indirect and CE cost center burden rates. The proposal is subject to external audit and is submitted to NASA (formerly ONR).

Financial Reports on SAO Intranet Monthly reports generated and posted to SAO Intranet: ERP-SIGL120R ~ SOFA Detail Report ERP-SIGL140R ~ GL Transaction List Report ERP-SIGL160R ~ Fund Status for Grants Report ERP-SIPR115R ~ Employee Time Report ERP-SIPR101R ~ Payroll Net Cost Listing ERP-SIPR108R ~ Payroll CE Rebill Listing On FMD intranet webpage: ERP-SISP169R ~ Contracts/Grants PI Summary Report

END