Process Redistributions (100.7.3)
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Process Redistributions (100.7.3)

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Article summary

Business Process Overview

The Process Redistributions process outlines the steps taken to redistribute payroll accounting costs that have already occurred. Agencies will identify accounting rows that need to be redistributed and then follow 110.3.5 Inter/IntraUnit Reclassifications to manually enter reclassification information into Florida PALM, send an interface with the reclassification transactions, or use spreadsheet upload functionality to submit reclassifications. The reclassifications are then synced back to the Financials HR Accounting Line table, allowing agencies to review the changes on the HR Accounting Line Report in Financials.

Business Process Diagram

Business Process Flow Diagram for 100.7.3 Process Redistributions

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. 

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 IDProcess Step TitleDescription of Process

1

Agency Identifies Accounting Rows Needing Redistribution

Agency identifies accounting rows needing distribution from their Agency Business Systems. Follow the 110.3.5 Inter/IntraUnit Reclassifications process to complete redistributions.


2

Identify Payroll Accounting Rows Needing Redistribution

Agency Payroll Accounting Reporter identifies accounting rows needing redistribution from the HR Accounting Line Report. Follow the 110.3.5 Inter/IntraUnit Reclassifications process to complete redistributions.


3

Sync Payroll Reclassifications to FIN HR Accounting Line

Payroll Reclassification transactions will be synced from IU Transaction Detail record to the FIN HR Accounting Line.


4

Review Agency Payroll Accounting Redistributions

Agency Payroll Accounting Reporter reviews the HR Accounting Line Report to confirm reclassifications posted as expected.

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 (U) of the primary line (i.e., expenditure, revenues) with an automated system (S) 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 IDAccounting EventCommitment Control Ledger(s) ImpactSource Module Accounting Entry
General Ledger (Actuals) Entry

PR13

IU Redistribution To - Agency Fund

Decreases Available Appropriation, Allotment, and Release balances

Decreases Spendable Cash

Debit: Payroll Expense (S)
Credit: Cash (S)

Debit: Payroll Expense Credit: Cash

PR13

IU Redistribution From - Agency Fund

Increases Available Appropriation, Allotment, and Release balances

Increases Spendable Cash

Debit: Cash (S)

Credit: Payroll Expense (S)


Debit: Cash

Credit: Payroll Expense

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

R6

PRR001

HR Accounting Line Report – A report that records the elements of issued payroll (payments made) with associated payment data, by each unique transaction to employee master record pay history (e.g., payment date, pay period, payment number, state's chart of account code, amount paid).  

Peoplesoft

On Demand

BOSP, Agency

Interfaces

The table below provides the Interfaces identified on the Business Process.

Interface Number

Interface Description

Interface Frequency

Source

Target

N/A





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

N/A



Version History

Date

Revision Description

07/30/2024

Original Version

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