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general:eoyaccruals_juneyearendschools:step7

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Run a general ledger inquiry

Finance > Inquiry > General Ledger Inquiry > General Ledger Account Summary

Run an inquiry on the 216X and 221X accounts from Finance and compare the balances to the Payroll > Reports > Year To Date Reports > HRS3550 - School YTD Accrual Payroll Account Distribution Journal.

This inquiry can also be run in Purchasing.

General Ledger Account Summary

School YTD Accrual Payroll Account Distribution Journal

If there is a difference in any of the funds, a journal entry needs to be made to balance the general ledger to the HRS3550 - School YTD Accrual Payroll Account Distribution Journal.
Review the following example entry:

Account CodeDebitCredit
199-00-2161-00-000-X-00-000 $2,696.98
199-11-6119-00-001-X-11-000$2,696.98

This is the difference between the two amounts. The entry has to make the general ledger match the HRS3550 - School YTD Accrual Payroll Account Distribution Journal.

General Ledger Account Summary

School YTD Accrual Payroll Account Distribution Journal

If there is a difference in any of the funds, a journal entry will need to be made to balance the general ledger to the HRS3550 - School YTD Accrual Payroll Account Distribution Journal.
Review the following example entry:

Journal Entry Example 2

Note: Be sure to keep a clean final copy of both of the HRS3550 reports for the auditor. These reports cannot be recreated after the July and August payrolls are processed.

general/eoyaccruals_juneyearendschools/step7.1682445630.txt.gz · Last modified: 2023/04/25 18:00 by emoreno