-
Print
-
DarkLight
-
PDF
Create and Maintain Inter/IntraUnit Accruals (110.2.1)
-
Print
-
DarkLight
-
PDF
Business Process Overview
IU Accruals are Inter/IntraUnit transactions used to record the liability that is owed to one agency and the receivable that’s due to another agency. An IU Accrual has two sides to the transaction. The sending side of the transaction is typically used to record the liability/expenditure. The receiving side of the transaction is typically used to record the receivable/revenue. In certain IU Accruals, either side can initiate the transaction. Both agencies record their side of the transaction within an IU Accrual and requires both agencies to balance.
This business subprocess is applicable to the following IU Accrual transaction subtypes:
- Payables/Receivables
- Due To/Due From
- Trust Fund Loan Issuance
- Advance Issuance
- Accrual Balance Adjustment
An IU Accrual transaction is posted once both agencies record and approve their side of the transaction, and successfully pass edits and budget/cash check. The status is set to ‘Open’ and agencies may then pay against an IU Accrual which will reduce the remaining balance. If needed, the accrual balance may be adjusted.
Business Process Diagram
Business Roles
The Business Process Flow Diagrams use horizontal swim lanes to depict where activities are performed by different parties or systems. Each swim lane is titled with a role, either agency-based or within DFS, and in some cases, are representative of an external entity or system. The swim lanes may change from page to page within a single business subprocess as more or fewer roles are required to execute sections of the business subprocess.
- Agency IU Sending Processor: agency role responsible for recording the sending side (i.e., liability/expenditure) of the IU Accrual transaction.
- Agency IU Receiving Processor: agency role responsible for recording the receiving side (i.e., receivable/revenue) of the IU Accrual transaction.
- DFS IU Processor: DFS role responsible for recording the sending side of the Trust Fund Loan Issuance transactions.
- Agency IU Sending Approver: agency role responsible for reviewing and approving the sending side (i.e., liability/expenditure) of the IU Accrual transactions.
- Agency IU Receiving Approver: agency role responsible for reviewing and approving the receiving side (i.e., receivable/revenue) of the IU Accrual transactions.
- DFS IU Approver: DFS role responsible for reviewing and approving the sending side (i.e., liability/expenditure) of the Trust Fund Loan Issuance transactions.
- DFS IU BRF Approver: DFS role responsible for reviewing and approving IU Accrual transactions that meet BFR approval criteria.
- DFS IU Auditing Approver: DFS role responsible for reviewing and approving IU Accrual transactions that meet auditing criteria.
- Agency IU Spreadsheet Upload Processor: agency or DFS role responsible for uploading IU transactions via Spreadsheet Upload. This role must be paired with another IU Processor role to create or update applicable IU transactions. (Role is not shown as a swim lane on flow diagram)
Business Process Flows Details
The tables below describe steps in each business subprocess as reflected on the Business Process Flow Diagrams. The tables also reflect information associated with each step describing the intent of the specific process. Florida PALM screenshots are included within the sections to allow connections to be made from specific business subprocess steps to screens within Florida PALM. This information should be read in conjunction with the Business Process Flow Diagrams.
Process Step ID | Process Step Title | Description of Process |
---|---|---|
1 | Identify Need for IU Accrual | The Inter/IntraUnit Module allows agencies to perform inter-agency transactions including the following IU Accruals:
The above listed IU transactions have two sides to the transaction. The sending side of the IU transactions is typically used to record the liability or expenditure of the transaction. The sending side of the transaction is recorded by the Agency IU Sending Processor and is used to send funds to the receiving agency. The receiving side of the IU transactions is typically used to record the receivable or revenue of the transaction. The receiving side of the transaction is recorded by the Agency IU Receiving Processor and is used to receive funds from the sending agency. A Payable/Receivable, Due To/Due From, and Accrual Balance Adjustments can be established by either the sending or receiving agency. This business subprocess model illustrates the Agency IU Sending Processor initiating the IU Accrual. If the process is initiated by the Agency IU Receiving Processor, the roles in the swim lanes would be reversed, with the Agency Receiving Processor in the top swim lane and the Agency IU Sending Processor in the bottom swim lane. An Advance Issuance transaction must be established by the sending agency with the Agency IU Sending Processor end user role. A Trust Fund Loan Issuance must be established by the DFS IU Processor. If an IU Accrual is determined to be needed, the agency who initiates the creation of the IU Accrual may record either via the Inbound Inter/IntraUnit Interface, the Inbound Inter/IntraUnit Spreadsheet Upload, or via online. |
2 | Inbound Inter/IntraUnit Interface | The sending agency who initiates the recording of an IU Accrual may do so via IUI002 Inbound Inter/IntraUnit Interface. This standard flat file interface is established with agency business systems and Florida PALM to obtain Inter/IntraUnit (IU) Accrual transactions. All IU transactions interfaced into Florida PALM bypass their agency’s approval and are marked approved systematically through interface processing. The transaction may require DFS BFR and DFS Auditing approval through workflow regardless of method of entry. The ‘External Reference’ and ‘Agency Invoice Number’ field may be used to capture an agency assigned identifier. Agencies may interface attachments to the IU Accrual transactions via SDI009 Inbound Attachments Interface or upload directly online. |
3 | Inbound Inter/IntraUnit Spreadsheet Upload | The sending agency may establish an IU Accrual via IUI001 Inbound Inter/IntraUnit Spreadsheet Upload. A Spreadsheet Upload is a process to transfer data within a Microsoft Excel spreadsheet systematically into Florida PALM to create transactions. A user who is assigned both the Agency IU Spreadsheet Upload Processor and the Agency IU Sending Processor role can create an IU Accrual and record the sending side (i.e., liability/expenditure) of the transaction. All IU transactions recorded via Spreadsheet Upload bypass their agency’s approval workflow and are marked approved systematically through interface processing. The transaction may require DFS BFR and DFS Auditing approval through workflow regardless of method of entry. A single-line SpeedKey may be used in the Spreadsheet Upload to populate the distribution lines with ChartField values. Agencies will have the opportunity to define their own SpeedKeys. The ‘External Reference’ and ‘Agency Invoice Number’ field may be used to capture an agency assigned identifier. Agencies may interface attachments to IU Accrual transactions via SDI009 Inbound Attachments Interface or upload directly online. |
4 | Perform Interface Error Checking | Interface validations are performed on each interface and Spreadsheet Upload before the data is allowed to load to the Inter/IntraUnit tables. If the file is rejected, all transactions in the file are rejected and the file must be resubmitted once issues are resolved. Rejected files are managed through the 120.1 Interface Error Handling Process. If the file is not rejected, edit validations are performed on each transaction before the data is allowed to load for processing in the Inter/IntraUnit module. Edit Validations include but are not limited to:
Additional Interface exceptions may occur when the data is validated against specific interface edits. Examples include duplicate data in the file, incorrect data, and missing required fields. Transactions with exceptions are rejected and agencies would need to resend the transactions in a future interface if an exception occurred. Rejected transactions are managed through the 120.1 Interface Error Handling Process. |
5 | Load Inbound IU Accrual Data | Florida PALM loads the IU Accrual data and systematically generates the IU Accrual transactions. Agencies may utilize the IUR005 Inter/IntraUnit Transaction Detail Report to view the IU Accruals loaded into Florida PALM. |
6 | Create/Update IU Accrual | If the sending agency end user has the Agency IU Sending Processor role, the end user may record the sending side (i.e., liability/expenditure) of the transaction. A single-line SpeedKey may be used to populate the distribution lines with ChartField values when entering an online IU Accrual. Agencies will have the opportunity to define their own SpeedKeys. A user may send a notification/alert to the receiving agency to communicate if needed. The notification can be done through an individual notification or using the IU processors associated to the receiving agency selected. Agencies may interface attachments to the IU Accrual transactions via SDI009 Inbound Attachments Interface or upload directly online. Reports available to view established or updated IU Accruals include the following:
Reference Figure 1 for a Mock-up of the IU Accrual entry page sending side. |
7 | Run Edit Check | IU Accruals will be systematically Edit Checked upon saving or submitting the transaction. The Edit check process will validate that ChartField values are active, validate combination edit rules applicable to the transaction, amount validation, open period validation, etc. |
8 | Resolve Edit Errors | If edit errors are identified, the transaction will not process. The user will receive a message upon saving or submitting if the IU Accrual fails edit rules. Edit errors that occur when an IU Accrual is entered online must be resolved prior to the transaction proceeding. The system will not allow the IU Accrual to proceed until all the required fields are provided with valid active values. Processors should confirm the validity of the ChartField values and the ChartField String used on the transaction and make necessary updates. The processors should confirm the date of transaction falls within an open budget or accounting period. If errors persist after making updates, and a SpeedKey is being used, the processor should consult with the Agency COA Maintainer to determine if the SpeedKey was established accurately. Alternatively, the processor may determine to cancel the transaction. If the edit error is not resolved within a specified number of days, the transaction will be auto deleted. Reports available to view IU transactions edit errors include: |
9 | Outbound Inter/IntraUnit Interface (IUI003) | Florida PALM interfaces with agency business systems through the IUI003 Outbound Inter/IntraUnit Interface, as applicable, to provide IU Accrual information, including establishment of IU Accruals and updates. |
10 | Identify IU Accrual to Update | The receiving agency who receives an IU Accrual from another agency is notified in multiple methods:
Upon identifying a received IU Accrual, the processor will be required to update the IU Accrual to record their side of the transaction. The receiving agency may update the IU Accrual either via the Inbound Inter/IntraUnit Interface, the Inbound Inter/IntraUnit Spreadsheet Upload, or via online. |
11 | Inbound Inter/IntraUnit Interface (IUI002) | The receiving agency may update an IU Accrual via IUI002 Inbound Inter/IntraUnit Interface to record their side of the transaction. This standard flat file interface is established with agency business systems and Florida PALM to obtain Inter/IntraUnit (IU) Accrual data. All IU transactions interfaced into Florida PALM bypass their agency’s approval and are marked approved systematically through interface processing. The transaction may require DFS BFR and DFS Auditing approval through workflow regardless of method of entry. The ‘External Reference’ and ‘Agency Invoice Number’ field may be used to capture an agency assigned identifier. Agencies may interface attachments to the IU Accrual transactions via SDI009 Inbound Attachments Interface or upload directly online. |
12 | Inbound Inter/IntraUnit Spreadsheet Upload (IUI001) | The receiving agency may update an IU Accrual via IUI001 Inbound Inter/IntraUnit Spreadsheet Upload to record their side of the transaction. A user who is assigned both the Agency IU Spreadsheet Upload Processor and the Agency IU Receiving Processor role can update an IU Accrual to record the receiving side (i.e., receivable/revenue) of the transaction. All IU transactions interfaced into Florida PALM bypass their agency’s approval and are marked approved systematically through interface processing. The transaction may require DFS BFR and DFS Auditing approval through workflow regardless of method of entry. A single-line SpeedKey may be used in the Spreadsheet Upload to populate the distribution lines with ChartField values. Agencies will have the opportunity to define their own SpeedKeys. The ‘External Reference’ and ‘Agency Invoice Number’ field may be used to capture an agency assigned identifier. Agencies may interface attachments to the IU Accrual transactions via SDI009 Inbound Attachments Interface or upload directly online. |
13 | Perform Interface Error Checking | Interface validations are performed on each interface and Spreadsheet Upload before the data is allowed to load to the Inter/IntraUnit tables. If the file is rejected, all transactions in the file are rejected and the file must be resubmitted once issues are resolved. Rejected files are managed through the 120.1 Interface Error Handling Process. If the file is not rejected, edit validations are performed on each transaction before the data is allowed to load for processing in the Inter/IntraUnit module. Edit Validations include but are not limited to:
Additional Interface exceptions may occur when the data is validated against specific interface edits. Examples include duplicate data in the file, incorrect data, and missing required fields. Transactions with exceptions are rejected and agencies would need to resend the transactions in a future interface if an exception occurred. Rejected transactions are managed through the 120.1 Interface Error Handling Process. |
14 | Load Inbound IU Accrual Data | Florida PALM loads the IU Accrual data and systematically updates the IU Accrual transactions. Agencies may utilize the IUR005 Inter/IntraUnit Transaction Detail Report to view the IU Accruals updates. |
15 | Update IU Accrual | An Accrual is updated by the receiving agency to record their side of the transaction. If the receiving agency end user has the Agency IU Receiving Processor role, the end user may record the receiving side (i.e., receivable/revenue) of the transaction. A single-line SpeedKey may be used to populate the distribution lines with ChartField values when entering an online IU Accrual. Agencies will have the opportunity to define their own SpeedKeys. A user may send a notification/alert to the initiating agency to communicate if needed. The notification can be done through an individual notification or using the IU processors associated to the initiating agency selected. Agencies may interface attachments to the IU Accrual transactions via SDI009 Inbound Attachments Interface or upload directly online. The IUR005 Inter/IntraUnit Transaction Detail Report can be utilized to view updated IU Accruals. Reference Figure 2 for a Mock-up of the IU Accrual entry page receiving side. |
16 | Run Edit Check | IU Accruals will be systematically Edit Checked upon saving or submitting the transaction. The Edit check process will validate that ChartField values are active, validate combination edit rules applicable to the transaction, amount validation, open period validation, etc. |
17 | Resolve Edit Errors | If edit errors are identified, the transaction will not process. The user will receive a message upon saving or submitting if the IU Accrual fails edit rules. Edit errors that occur when an IU Accrual is entered online must be resolved prior to the transaction proceeding. The system will not allow the IU Accrual to proceed until all the required fields are provided with valid active values. Processors should confirm the validity of the ChartField values and the ChartField String used on the transaction and make necessary updates. The processors should confirm the date of transaction falls within an open budget or accounting period. If errors persist after making updates, and a SpeedKey is being used, the processor should consult with the Agency COA Maintainer to determine if the SpeedKey was established accurately. If the edit error is not resolved within a specified number of days, the transaction will be auto deleted. Reports available to view IU transactions with edit errors include: |
18 | Initiate Inter/IntraUnit Workflow (IUW001) | Once both agencies have recorded their side of the transaction and submitted, the Inter/IntraUnit workflow is initiated to obtain the necessary approvals prior to budget/cash checking process. If the sending side (i.e., liability/expenditure) of the IU Accrual was entered online, the IU Accrual will require approval from the Agency IU Sending Approver. If recorded via interface or Spreadsheet Upload, the transaction will bypass sending approval. If the receiving side (i.e., receivable/revenue) of the IU Accrual was entered online, the IU Accrual will require approval from the Agency IU Receiving Approver. If recorded via interface or Spreadsheet Upload, the transaction will bypass the receiving approval. If approval workflow is required, it will be sent to both the Agency IU Sending Approver and Agency IU Receiving Approver simultaneously. |
19 | Review IU Accrual Transaction | The Agency IU Sending Approver will receive a notification via Worklist in the IU WorkCenter displaying the transaction is ready to be approved. Alternatively, the approver may access IUR009 IU Pending Approval report in the IU WorkCenter. The approver reviews the sending side (i.e., liability/expenditure) of the IU Accrual and any attached documentation to ensure the transaction is accurate and valid. Based on the documentation, the approver has three options:
|
20 | Deny IU Accrual Transaction | If the Agency IU Sending Approver determines the IU Accrual requires updates or recommends deletion, the approver denies the sending side (i.e., liability/expenditure) of the IU Accrual and enters a comment for the denial reason. |
21 | Route to IU Processors | The IU Accrual status is set to ‘Denied’ and is routed back to both the sending and receiving processors. Both processors will receive an email notification of the denied transaction. Refer to Appendix A for a complete list of statuses and descriptions. |
22 | Review Denied IU Accrual | An IU Accrual may be denied by an approver. The Agency IU Sending Processor is notified of the denial via email. The processor reviews the IU Accrual and makes updates to their side of the transaction if necessary. The processor may use the IUR010 Denied IU Transactions (WorkCenter) report to view denied IU Accruals. |
23 | Review Denied IU Accrual | An IU Accrual may be denied by an approver. The Agency IU Receiving Processor is notified of the denial via email. The processor reviews the IU Accrual and makes updates to their side of the transaction if necessary. The processor may use the IUR010 Denied IU Transactions (WorkCenter) report to view denied IU Accruals. |
24 | Delete IU Accrual | The Agency IU Sending Processor who initiated the transaction may delete an IU Accrual if deemed necessary. An IU Accrual may be denied by an approver and deem it necessary to delete the transaction. Deleted IU Accruals do not impact balances and are not able to be altered after deletion. An IU Accrual cannot be deleted if it has successfully passed budget/cash check. IU Accruals in a deleted status may be viewed in the IUR005 Inter/IntraUnit Transaction Detail Report. |
25 | Approve IU Accrual Transaction | IU Accruals that pass review are approved by the Agency IU Sending Approver. |
26 | Review IU Accrual Transaction | The Agency IU Receiving Approver will receive a notification via Worklist in the IU WorkCenter displaying the transaction is ready to be approved. Alternatively, the approver may access IUR009 IU Pending Approval report in the IU WorkCenter. The approver reviews the receiving side (i.e., receivable/revenue) of the IU Accrual and any attached documentation to ensure the transaction is accurate and valid. Based on the documentation, the approver has three options:
|
27 | Deny IU Accrual Transaction | If the Agency IU Receiving Approver determines the IU Accrual requires updates or recommends deletion, the approver denies the receiving side (i.e., receivable/revenue) of the IU Accrual and enters a comment for the denial reason. |
28 | Route to IU Processors | The IU Accrual status is set to ‘Denied’ and is routed back to both the sending and receiving processors. Both processors will receive an email notification of the denied transaction. Refer to Appendix A for a complete list of statuses and descriptions. |
29 | Approve IU Accrual Transaction | IU Accruals that pass review are approved by the Agency IU Receiving Approver. |
30 | Initiate Inter/IntraUnit Workflow | IU Accrual transactions may require DFS BFR approval regardless of method of entry. Once both sides of the IU Accrual are approved, either through agency workflow or marked approved via Interface/Spreadsheet Upload, the Inter/IntraUnit workflow is initiated to determine if the IU Accrual requires BFR approval based on criteria. Trust Fund Loan Issuance transactions do not workflow to BFR for approval. If the transaction does not require BFR approval, the Inter/IntraUnit workflow is initiated again to determine if the IU Accrual requires auditing approval based on criteria. |
31 | Review IU Accrual Transaction | The DFS IU BFR Approver will receive a notification via Worklist in the IU WorkCenter displaying the transaction is ready to be reviewed for approval. Alternatively, the approver may access IUR009 IU Pending Approval report in the IU WorkCenter. The approver reviews both the sending and receiving sides of the IU Accrual and any attached documentation to ensure the transaction is accurate and valid. Based on the documentation, the approver has three options:
|
32 | Deny IU Accrual Transaction | If the DFS IU BFR Approver determines the IU Accrual requires updates or recommends deletion, the approver denies the IU Accrual and enters a comment for the denial reason. |
33 | Route to IU Processors | The IU Accrual status is updated to ‘Denied’ and is routed back to both the sending and receiving processors. Both processors will receive an email notification of the denied transaction. Refer to Appendix A for a complete list of statuses and descriptions. |
34 | Approve IU Accrual Transaction | IU Accruals that pass review are approved by the DFS IU BFR Approver. |
35 | Initiate Inter/IntraUnit Workflow | The Inter/IntraUnit workflow is initiated to determine if the IU Accrual requires auditing approval based on criteria. Trust Fund Loan Issuance transactions do not workflow to BFR for approval. If the transaction does not require Auditing approval, the transaction lifecycle proceeds to run budget and cash check. |
36 | Review IU Accrual Transaction | The DFS IU Auditing Approver will receive a notification via Worklist in the IU WorkCenter displaying the transaction is ready to be reviewed for approval. Alternatively, the approver may access IUR009 IU Pending Approval report in the IU WorkCenter. The approver reviews both the sending and receiving sides of the IU Accrual and any attached documentation to ensure the transaction is accurate and valid. Based on the documentation, the approver has three options:
|
37 | Deny IU Accrual Transaction | If the DFS IU Auditing Approver determines the IU Accrual requires updates or recommends deletion, the approver denies the IU Accrual and enters a comment for the denial reason. |
38 | Route to IU Processors | The IU Accrual status is updated to ‘Denied’ and is routed back to both the sending and receiving processors. Both processors will receive an email notification of the denied transaction. Refer to Appendix A for a complete list of statuses and descriptions. |
39 | Approve IU Accrual Transaction | IU Accruals that pass review are approved by the DFS IU Auditing Approver. |
40 | Run Budget/Cash Check | Upon final approval, the IU Accrual continues processing through the systematic Budget Check and Cash Check process. The budget check process will run at the designated interval. The budget/cash check process checks all budget and cash ledgers to ensure there is a sufficient balance available. Any budget/cash errors are followed up for resolution through the 110.2.2 Monitor IU Accrual business subprocess. Reports available to view budget/cash check errors on IU Accruals include:
|
41 | Update Ledger Balances | Upon passing the Budget/Cash Check, the appropriate ledgers will be updated in the Commitment Control module. The Accounting Events section listed below provides Commitment Control ledger impacts for each business event. |
42 | Post to IU Module | IU Accruals that successfully pass all checks (edit check, budget check, and cash check) are posted automatically to the IU Module. Upon posting, the IU Accrual transaction status is updated to ‘Open’, balances are updated, and are available for reporting purposes. Agencies can query for posted IU Accrual details within Florida PALM. Once an IU Accrual is posted and in ‘Open’ status, agencies may pay against the IU Accrual via IU transactions. Reference 110.3 Inter/IntraUnit Transaction Processing for details. The IU Accrual transaction will contain a ‘Details’ link to view the remaining balance of the IU Accrual and any transactions or adjustments made against the IU Accrual. Refer to Appendix A for a complete list of statuses and descriptions. Reports available to view posted IU Accruals include:
|
43 | Generate GL Journals | Journal Generator (JGEN) processes posted accounting entry data from the Florida PALM source modules, summarizes the data, and creates journals in the General Ledger. The Journal Generator process will edit, budget check, and post the journal entries created during the process. Please see 10.2.1 Source Module Journal Entry business subprocess for more information on source module journal entries. Journals created from the Inter/IntraUnit module will contain Affiliate and Fund Affiliate fields. These fields help manage InterUnit and IntraUnit transactions and facilitate mapping transactions between related Business Units and Funds. |
44 | Outbound Inter/IntraUnit Interface (IUI003) | Florida PALM generates and exports a data file for agency business systems through the IUI003 Outbound Inter/IntraUnit Interface, as applicable, to provide IU Accrual information, including posted IU Accruals. |
Mock-up of IU Accrual Entry Page – Sending Side
Mock-up of IU Accrual Entry Page – Receiving Side
Accounting Events
Accounting events originate during transaction processing in the applicable source module. The accounting events impact the source module, Commitment Control ledgers, and the General ledger (Actuals).
- Source Module accounting entries require user input (I) of the primary line (i.e., expenditure, revenues) with an automated (A) system offsetting line (i.e., payable, receivable) during transaction entry. The source model transaction must pass Edit Check, Budget Check, and Cash Check (on applicable entries) prior to posting the transaction.
- The Run Budget Check (Commitment Control) process automatically affects balances in the appropriate budget ledger (i.e., appropriation, spendable cash) if the transaction passes the budget check process.
- After the transaction is posted in the source module, an automated system process summarizes and posts the entries in the General Ledger module to the Actuals Ledger.
The table below provides the most common accounting events applicable to this business process.
Acct Event ID | Event | Sending/Receiving Accounting Entry | Commitment Control Ledger(s) Impact | Source Module Accounting Entry | General Ledger (Actuals) Entry |
---|---|---|---|---|---|
IU01 | Establish Unencumbered Payable/Receivable (Applicable to Payable/Receivable transactions) | Sending | Increases:
Decreases:
| Debit: Expenditure (U) Credit: Accounts Payable (S) | Debit: Expenditure Credit: Accounts Payable |
Receiving | Increases:
| Debit: Accounts Receivable (S) Credit: Revenue (U) | Debit Accounts: Receivable Credit: Revenue | ||
IU02 | Establish Unencumbered Due To/Due From (Applicable to Due To/Due From transactions) | Sending | Increases:
Decreases:
| Debit: Expenditure (U) Credit: Due To (S) | Debit: Expenditure Credit: Due To |
Receiving | Increases:
| Debit: Due From (S) Credit: Revenue (U) | Debit: Due From Credit: Revenue | ||
IU03 | Establish IU Encumbered Payable/Receivable (Applicable to Payable/Receivable transactions) | Sending – Relieve Encumbrance | Increases:
Decreases:
| N/A | N/A |
Sending | Increases:
Decreases:
| Debit: Expenditure (S) Credit: Accounts Payable (S) | Debit: Expenditure Credit: Accounts Payable | ||
Receiving | Increases:
| Debit: Accounts Receivable (S) Credit: Revenue (U) | Debit: Accounts Receivable Credit: Revenue | ||
IU04 | Establish IU Encumbered Due To/Due From (Applicable to Due To/Due From transactions) | Sending –- Relieve Encumbrance | Increases:
Decreases:
| N/A | N/A |
Sending | Increases:
Decreases:
| Debit: Expenditure (S) Credit: Due To (S) | Debit: Expenditure Credit: Due To | ||
Receiving | Increases:
| Debit: Due From (S) Credit: Revenue (U) | Debit: Due From Credit: Revenue | ||
IU05 | Establish Trust Fund Loan (Applicable to Trust Fund Loan Issuance transaction) | Sending (DFS) | Increase:
Decreases:
| Debit: Transfer Out – Loan Issuance Expense (U) Credit: Cash (S) | Debit: Transfer Out – Loan Issuance Expense Credit: Cash |
Sending (DFS) | Increases:
| Debit Transfer In – Loan Receivable (S) Credit: Transfer In – Loan Repayment Revenue (S) | Debit Transfer In – Loan Receivable Credit: Transfer In – Loan Repayment Revenue | ||
Receiving | Increases:
| Debit: Cash (S) Credit: Transfer In – Loan Issuance Revenue (S) | Debit: Cash Credit: Transfer In – Loan Issuance Revenue | ||
Receiving | Increases:
Decreases:
| Debit: Transfer Out – Loan Repayment Expense (U) Credit: Transfer Out – Loan Payable (S) | Debit: Transfer Out – Loan Repayment Expense Credit: Transfer Out – Loan Payable | ||
IU06 | Establish Advance (Applicable to Advance Issuance transaction) | Sending | Increases:
Decreases:
| Debit: Transfer In – Advance Receivable (S) Credit: Transfer In – Advance Repayment Revenue (S) | Debit: Transfer In – Advance Receivable Credit: Transfer In – Advance Repayment Revenue |
Sending | Increases:
| Debit: Transfer In – Advance Receivable Credit: Transfer In – Advance Repayment Revenue | Debit: Transfer In – Advance Receivable Credit: Transfer In –Advance Repayment Revenue | ||
Receiving | Increases:
| Debit: Cash (S) Credit: Transfer In -– Advance Issuance Revenue (S) | Debit: Cash Credit: Transfer In – Advance Issuance Revenue | ||
Receiving | Increases:
Decreases:
| Debit: Transfer Out – Advance Repayment Expense (U) Credit: Transfer Out – Advance Payable (S) | Debit: Transfer Out – Advance Repayment Expense Credit: Transfer Out - Advance Payable | ||
IU07 | Increase Accrual Balance (Applicable to Accrual Balance Adjustment transaction) | Sending | Increases:
Decreases:
| Debit: Expenditure (U) Credit: Accounts Payable (S) | Debit: Expenditure Credit: Accounts Payable |
Receiving | Increases:
| Debit: Accounts Receivable (S) Credit: Revenue (S) | Debit: Accounts Receivable Credit: Revenue | ||
IU08 | Decrease Accrual Balance (Applicable to Accrual Balance Adjustment transaction) | Sending | Increases:
Decrease:
| Debit: Accounts Payable (S) Credit: Expense (U) | Debit: Accounts Payable Credit: Expense |
Receiving | Decreases Recognized Revenue | Debit: Revenue (S) | Debit: Revenue |
Reports
Key Reports are displayed as icons with the Report Number on this Business Process. The table below provides the reports identified to be produced at a particular process step or is used to support the completion of a process step.
Report Number | Report RICEFW ID | Report Description | Report Source | Report Frequency | Audience |
---|---|---|---|---|---|
R1 | IUR005 | Inter/IntraUnit Transaction Detail Report – A report that lists transaction details for Inter-IntraUnit module transactions including Inter-IntraUnit expenditures, revenues, transfers, advances, reclassifications, encumbrances, and accruals. | PeopleSoft | Periodic, Monthly, Annually | Agency |
R2 | IUR007 | Pending Submission IU Transactions (WorkCenter) – A report in the WorkCenter used to display a list of initiated IU transactions that are pending submission. | PeopleSoft | Periodic | Agency |
R3 | IUR011 | IU Edit Errors (WorkCenter) – A report that provided edit errors for IU transactions that require action. | PeopleSoft | Periodic | Agency |
R4 | IUR008 | Received IU Transactions (WorkCenter) – A report in the WorkCenter used to display a list of IU Transactions that are received and ready for the reciprocating information. | PeopleSoft | Periodic | Agency |
R5 | IUR010 | Denied IU Transactions (WorkCenter) – A report in the WorkCenter used to display a list of Inter-IntraUnit transactions submitted and are pending approval. | PeopleSoft | Periodic | Agency |
R6 | IUR009 | IU Pending Approval (WorkCenter) – A report in the WorkCenter used to display a list of Inter-IntraUnit transactions submitted and are pending approval. | PeopleSoft | Periodic | Agency |
R7 | IUR004 | IU Encumbrance and Accrual Activity Report – A data warehouse report detailing the IU Encumbrance or Accrual activity including the established encumbrance/accrual, payments made against the encumbrance/accrual, and remaining balances. | BI/DW | Periodic, Monthly, Annually | Agency, DFS |
R8 | KKR018 | Agency Commitments Report – A report that provides encumbrances and payables by ChartField combinations by budget period(s). | PeopleSoft | Periodic, Monthly, Annually | Agency |
R9 | IUR006 | Inter/IntraUnit Budget-Cash Check Errors (WorkCenter) – A report in the WorkCenter used to display a list of Inter-IntraUnit transactions with budget and cash check exceptions that require action. | PeopleSoft | Periodic | Agency |
R10 | KKR058 | Budget and Cash Checking Exceptions/Warnings Report – A report that lists transactions budget and cash check exceptions and warnings along with transaction amounts, to include the type of exception and where an override was applied. | PeopleSoft | Periodic, Monthly, Annually | Agency, DFS |
Interfaces
The table below provides the Interfaces identified on the Business Process.
Interface Number | Interface Description | Interface Frequency | Source | Target |
---|---|---|---|---|
IUI001 | Inbound Inter/IntraUnit Spreadsheet Upload - Inbound interface to load Inter-IntraUnit transactions via the spreadsheet (Excel) upload functionality. This interface is used for Inter-IntraUnit expenditure, revenue, transfer, advance, reclassifications, encumbrances, and accrual transactions. | Daily | Agency Business System | Florida PALM |
IUI002 | Inbound Inter/IntraUnit Interface - Inbound interface used to record or update Inter-IntraUnit expenditures, revenues, transfers, advances, reclassifications, encumbrances, and accruals. | Daily | Agency Business System | Florida PALM |
IUI003 | Outbound Inter/IntraUnit Interface - Outbound interface containing established/updated IU Encumbrances, and posted/received Inter-IntraUnit expenditures, revenues, transfers, advances, reclassifications, and accruals. | Daily | Florida PALM | Agency Business System |
SDI009 | Inbound Attachments - Inbound interface to load attachments that are associated to Florida PALM transactions. | Daily | Agency Business Systems | Florida PALM |
Forms
The table below provides the forms identified on this Business Process.
Form Number | Form Description | Audience |
---|---|---|
N/A |
Workflows
The table below provides the workflows identified on this Business Process.
Workflow Number | Workflow Description | Audience |
---|---|---|
IUW001 | IU Transaction Workflow – Workflow to route IU transactions (including IU Accruals) for approval. | Agency, DFS |
Version History
Date | Revision Description |
---|---|
07/23/2024 | Original Version |