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general:midyearpeimsbusiness_financedomain_financedata

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Verify Finance data

REMINDERS:

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

Prior year financial data is extracted from Finance for applicable funds. The totals include actual amounts entered into the system in the prior file ID.

Note: The Auditor's adjusting entries must be posted to obtain accurate amounts. To verify this information, use the Finance > Reports > Finance Reports > Journals, Checks, Detail Ledgers > FIN1150 - General Journal.

Debit/Credit Guide

Account CodeDebitCredit
Assets (1XXX)IncreaseDecrease
Liabilities (2XXX)DecreaseIncrease
Fund Balance (3XXX)DecreaseIncrease
Reserves (4XXX)DecreaseIncrease
Estimated RevenueIncreaseDecrease
Realized RevenueDecreaseIncrease
AppropriationsDecreaseIncrease
ExpendituresIncreaseDecrease

If adjusting entries have not been posted to the prior file ID, use Finance > Maintenance > Postings > Journal Actual or the Import JV Transactions Template.

General Ledger Account Summary Tab

The following data is reported:

  • Fund (1XX-701)
  • Function
  • Object
    • Report 5XXX-8XXX
    • Unlike Fall data, which collapses 61XX into 6100, 62XX into 6200, 63XX into 6300, etc., each object code is reported (6112, 6118, 6119, etc.)
  • Organization
  • Fiscal Year
  • Program Intent
  • Amount (rounded to the nearest dollar)


Use Exhibit C-3 from the annual audit report to compare amounts to the Finance > Inquiry > General Ledger Inquiry.

Exhibit C-3

This data can also be verified by using the Finance > Reports > Finance Reports > Summary/Miscellaneous Reports > FIN3050 - Board Report

general/midyearpeimsbusiness_financedomain_financedata.1790971472.txt.gz · Last modified: 2026/10/02 20:04 by emoreno