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Creating a Cash Account

The "New" under the Cash Account menu is used in creating and posting new cash accounts. Selecting "New" will open a blank cash account window that can be used to enter the information for a new cash account as displayed here:
The cursor will automatically be placed in the fund dimension field. Only selected fields are accessible when creating a cash account (they are denoted (tick) below). The rest of the fields are calculated fields that aren't modifiable.

  • (tick) Account Number Dimensions - The cash account entered needs to be a valid cash account code, special cost center must be 0000 or 9xxx.
  • (tick) Description- Enter a description for the cash account. If the field is left blank, it will default to the description provided by the Auditor of State's USAS manual.
  • Status- If the Active status is selected, it will allow requisitions, purchase orders and receipts to be processed against this fund. If the Inactive status is selected, it will disallow requisitions, purchase orders and receipts to be processed against this fund. The default status is Active.
  • Initial Cash- is the beginning fiscal year cash balance.
  • Fiscal Year to date receipts *- is the fiscal year to date total amount receipted to the cash account.
  • Month to date receipts- is the month to date amount receipted into the cash account
  • Calendar year to date receipts- is the calendar year to date amount receipted into the cash account.
  • Fiscal year to date expenditures- is the fiscal year to date total expenditures from the cash account.
  • Month to date expenditures- is the month to date total expenditures from the cash account.
  • Calendar year to date expenditures- is the calendar year to date total expenditures from the cash account.
  • Fund Balance- is the current balance available to be expended. Equal to Initial cash balance + fiscal year to date receipts - fiscal year to date expenditures.
  • (tick)  Investments- is the amount of available cash currently marked as invested.
  • Payables- is the amount of cash currently processed for payment (i.e. invoiced), but not yet paid.
  • Available- is the current available cash balance. This is equal to the fund balance - investments.
  • Bank Code- is a one character code that identifies a banking institution
  • Encumbered- is the current encumbrances which is the amount of the available cash encumbered by purchase orders.
  • Fund Type - is a two digit code which classifies the fund according to rules as set forth in the Audit-or of State's Revision 13 Manual. The following fund types are valid:
    • AOS Default -

      We recommend this option be used.

      When this is used, no fund type is stored on the cash account record, and any programs needing to know the fund type will look up and use the classification as defined by AOS. This means that if the AOS changes their classification for a fund, the software will automatically adjust to the new classification without the end-user having to do anything. However, if the district is re-classifying the fund for their GAAP reports to a classification other than the one defined by AOS, then they must select the reclassified fund type at this prompt.

    • General
    • Special Revenue
    • Debt Service
    • Capital Projects
    • Permanent
    • Enterprise
    • Internal Service
    • Agency
    • Investment Trust Fund
    • Private Purpose Trust
    • Pension Trust Fund
  • Unencumbered Balance- is the amount of available cash remaining to be expended. Equal to the current available cash - current encumbrances.
  • Future Encumbered- is the amount of the available cash that has been encumbered by future purchase orders for a future month in the current fiscal year.
  • Future Year Encumbered- is the amount that has been encumbered by any purchase orders that have been processed for a future fiscal year.

If the flag, " Check Future Year Balances," in USASDAT/USACON is set to "Y" the amount in this field will be subtracted from the "Next FY Proposed" field when posting future purchase orders for the next fiscal year in order to determine availability of funds.

  • Requisitioned Amount- is the amount of the remaining available cash that is currently posted to open requisitions. The requisitioned amount can optionally be used in balance checking as requisitions and/or purchase orders are being created and modified.

The "Track Requisitioned Amount" flag in USASDAT/USACON must be set to yes to activate this field. When set to yes, the requisitioned amount is automatically calculated and stored on the accounts. If the flag is set to no, the requisitioned amount will not be tracked or displayed on the accounts, and the "remaining balance" will then be equal to the unencumbered balance - future encumbered.

  • Future Year Requisitioned- is the total dollar amount that has been posted to requisitions for a future fiscal year.
  • Remaining Balance- is the amount of available cash remaining to be expended. If the "Track Requisitioned Amount" flag in USASDAT/USACON is set to yes, the remaining balance will be equal to the unencumbered balance - future encumbered amounts - requisitioned amounts. If the "Track Requisitioned Amount" flag is set to no, the remaining balance will be equal to the unencumbered balance - the future encumbered amounts.
  • Include on SM1/SM2 (Tax Anticipation Notes)- displays a flag which determines whether or not a particular cash account will be included in the SM1/SM2 calculations.

    This flag will only be modifiable if the cash account is in the "002" fund with a "9xxx" special cost center. All other cash accounts will display Yes or No to indicate whether or not this fund is included. Any budget or revenue accounts in the 002 fund with an 8001 special cost center are also included on the SM1/SM2.

  • (tick)  Bypass Approp/Budget balance checking- is an optional flag that allows balance checking to be bypassed for that particular fund. When set to "Yes," all associated budget and appropriation accounts will be allowed to go negative when posting requisitions or purchase orders. This enables users who otherwise are unable to exceed appropriation or budget balances to exceed these balances for the particular fund only.
  • (tick) Start Date- if date is entered then the account will only become active after that date.
  • (tick) Stop Date- if date is entered then the account will be active up until that date.
  • (tick) Emis Fund Category- is only required for funds that have multiple sources of revenue as defined in the biennial budget, without having to add new funds for every program. The category is intended to define the fund/special cost center combination describing the type of fund for the EMIS year-end financial data processing. This allows ODE to be able to perform analysis on these types of funds. The drop down box will provide a list of possible codes for each fund that requires a category to be specified.
  • *PTD Clear Month- is an optional field that allows the district to select the month they want the project-to-date fields to be cleared. When ADJUST is run for that particular month, the PTD receipt and expenditure fields will be cleared and the PTD ending balance will be recalculated by moving the PTD ending balance to the PTD beginning balance. The PTD clear month can also be left blank to handle projects that need to accumulate for more than one year.
  • (tick) *Track PTD Flag- is an optional field that allows the district to use the project-to-date fields. If the flag is set to "Yes, " the PTD amounts will be tracked. If set to "No," USAS will not track the project-to-date fields.
  • (tick) *PTD Beginning Balance- is an optional field that allows districts to enter the beginning cash bal-ance of a project they are tracking for this particular cash account.
  • *PTD Receipts- is an optional field that tracks the total project-to-date amount receipted to the cash account.
  • *PTD Expenditures- is an optional field that tracks the total project-to-date expenditures made to the cash account.
  • *PTD Ending Balance- is an optional field that tracks the amount of available cash remaining for the project.
  • (tick) *Money 1 and Money 2- are optional numeric fields for the district's own use.
  • (tick) *Code 1 and Code 2- are optional 2 character fields for the district's own use.
  • (tick) *Date- is an optional 8 character field for the district's own use.
  • (tick) Text*- is an optional 30 character field for the district's own use.

New Cash Account Functions


The Accept function will add the cash account to the USAS system. Any warningsor errors encountered will be displayed at the top of your browser window. The message, "Account Added Successfully" will be displayed at the top of your browser if no errors were encountered. If fatal errors are encountered, the account will not be added. Modifications will need to be made to cor-rect the errors before the account can be posted.


The Cancel function will erase any entries made to the cash account currently dis-played on the screen. A pop-up box will appear in your browser ensuring that the cash account will be cancelled. Clicking on OK will cancel the cash account.

The New Cash account functions appear at both the top and the bottom of the screen for easier access.

Querying Cash Accounts

The "Query " option under the Cash Account menu allows you to search for cash accounts that currently exist on the USAS system. You may query by any of the following options:

There is an indication above the query, indicating which fields work with wildcards

  • Account Number: To search for a specific cash account, enter the entire cash account and click on Find. If you do not know the entire account code or in order to select a range of cash accounts, the portions of the account that are known may be entered into the corresponding dimensions. Click on Find and a list will be displayed of all the cash accounts matching the criteria entered
  • Description: To search for a cash account by description, enter the name of the account in the description field. The default is to select accounts starting with the value that you enter. You may use asterisks * as a wildcard to find accounts containing a value. For example, entering *club* in the Description would select records with 'club' anywhere in the account name.
  • Status: You may search accounts by active status, inactive status or both.

  • Under Maximum Accounts Returned, you have the option of displaying up to 250 accounts per query. The default number returned is 50.

After you have clicked on Find, the cash account code, the corresponding description, and the current fund balance of the cash account will be displayed along with a total dollar amount of the current fund balances of the resulting cash accounts. The total dollar amount will be displayed in the "cash account query total" at the top of the results.  If you want to perform another query, the Clear option will clear out the data in the query fields so you may start a new search. In order to select a specific cash account, click on any of the account code dimensions or the description of a specific cash account and it will display the detailed record of the cash account. From there, you have the option to:

• View the details of the existing cash account
• Add a new cash account
• Make modifications to the existing cash account
• Clone an existing cash account
• Delete an existing cash account

Any of the column headings may be clicked on to change the order in which the cash accounts are currently being displayed. By default, the accounts will be displayed Fund/SCC. Simply click on the column heading that you wish to have the cash sorted by.

Modifying Cash Accounts


Cash accounts that have been previously posted to the USAS system may be modified through the USASWEB application. In order to modify a cash account, it must first be queried by selecting the "Query" option under the main Accounts menu. Please refer to the "Querying Cash Accounts" section for help on selecting a cash account to be queried. Once the account has been queried, it is selected by clicking on the account dimensions or description. The details of the cash account will be displayed in your browser window and then you will need to click on and it will show as displayed:


The following fields are modifiable:

  • Description
  • Status
  • Investments
  • Bank Code
  • Fund Type
  • Include on SM1/SM2 (only for 002 funds with a 9xxx special cost center)
  • Bypass Approp. Budget Balance Checking
  • Start/Stop Date
  • PTD Clear Month
  • Track PTD Flag
  • PTD Beginning Balance
  • Money 1 and 2
  • Code 1 and 2
  • Date
  • Text

Cloning Cash Accounts


The Clone feature may be used to load all information from an existing cash account into a new cash ac-count. In order to clone a cash account, the account must be queried using the "Query" option located under the Cash Account menu. Please refer to the "Querying Cash Accounts" section for help on select-ing cash accounts to be queried. Once the cash account has been queried, it is selected by clicking on the account dimensions or description.
Next, click on the function. The only fields that will be copied to the new cash account are the entire account code and description. The status will default to active and the rest of the fields will be left blank.
The account code and description must be edited to reflect the correct account code. If any further modifications or additions are to be made to the new cash account, they may be done so prior to adding the cash account.

  
Use to create the new cash account.


 Use the function to leave the account unchanged and return to the Query page.

Deleting Cash Accounts

 

The Delete function may be used to delete a cash account. It is important that you run the DELACT program prior to deleting an account. The DELACT program will list the cash accounts that have no trans-actions associated with them, and therefore have all zero figures in them. If the cash account shows up on DELACT, it is safe to delete the account in USASWEB. In order to delete a cash account, the account must be queried using the "Query" option located under the main Accounts menu. Please refer to the "Querying Cash Accounts" section for help on selecting cash accounts to be queried. Once the cash account has been queried, it is selected by clicking on the account dimensions or description. Next, click on the button located under the Cash Account Details. Once you have selected to delete, you will receive a pop-up box prompting you if you are sure you want to delete this cash account. Click on "OK" to delete the account and return to the Query page or click on "Cancel" to cancel out of the pop-up box.

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