null


Albin O. Kuhn Library & Gallery - Staff Wiki


Skip to end of metadata
Go to start of metadata

You are viewing an old version of this page. View the current version.

Compare with Current View Page History

Version 1 Next »

Closeout Schedule--2008
Added by Corey Brown , last edited by Corey Brown on Apr 13, 2009 (view change)
Labels:
(None) EDIT

Add Labels

Wait Image
Enter labels to add to this page:
Tip: Looking for a label? Just start typing.

End of Year Closeout Schedule 2008

June 2

  • Robin sends a notice to liaisons regarding the end-of-year delay in rush ordering.
  • Last day to create and approve a Requisition in PeopleSoft.

Friday, June 13

  • Last day for VISA ordering (except rushes).

Tuesday June 17

  • Last day for transfers.
  • Michelle checks budget records setup:

Budget code: XX-code-year, CP-ITD-2003

Budget type - XXREG, XXEND, XXGIF, XXGRA

Annual budget box checked.

Wednesday June 18

  • Last day for rush VISA ordering.

Thursday, June 19

  • Accounts Payable invoice submission deadline.
  • Last day to enter new invoices in Aleph.
  • Last day to "R" invoices in Aleph.
  • All invoices must be "R" or "P" by COB.

Friday, June 20

  • Last day to "P" invoices in Aleph.
  • All invoices must be "P" by COB.
  • Today's "N" Report should be Blank.

Monday, June 23

ITD Runs End of Year Closeout

  • Today's "N" and "R" reports Must be blank (If not, call Yalan immediately--Any invoices remaining on them will have to be deleted).
  • No staff may log into Acquisitions, Serials, or Administration.
  • All Usernames beginning with Z will be disabled.
  • Michelle prints and checks any closeout reports.
  • Anna prepares departmental reports with final financial information for the year.
  • Michelle confirms that encumbrances rolled over correctly.
  • Michelle makes any necessary changes to fund codes/names.

Tuesday, June 24

  • Jen confirms that new budgets were set up correctly.
  • Anna re-deposits final FY08 Revenue Fund balances into FY09 Revenue Funds.
  • Darlene sets allocations and over-encumber and over-expend thresholds for books.
  • Michelle calculates Endowment Fund balances.

Wednesday, June 25

  • Alla "P's" re-deposited FY09 Revenue Fund beginning balances.
  • Darlene sets allocations for serials (tentative).
  • Darlene sets Endowment Fund over-encumbrance thresholds.
  • Michelle checks book allocations
  • FY08 ordering may begin (all requisitions held until July 7 when Accounts Payable will start accepting requisition requests again)
  • FY08 receiving may begin (all invoices held with "N" status until July 7 when Accounts Payable will start processing invoices again)

Thursday June 26

  • First day for FY09 VISA orders.
  • Michelle and Kenny do Web Order System Closeout.

Monday July 7

  • Payment of invoices begins--invoices can be r'ed and sent to A & R for payment.
  • Requisition requests can be made.

Tuesday, July 15

  • Michelle send Alla request to transfer remaining FY08 transfer fund expenditures from Revenues to Materials.

Friday July 18

  • Darlene sets Transfer Fund over-encumbrance thresholds based on Revenue Account Balances.
  • No labels