Top of FIN | Index | Table of Contents | Feedback |
FINF1800 - Maintain Fee Posting Accounts
Purpose |
To record the Account Codes used to receive Fee Revenue, and those used to receive Disbursed Income. |
|
SubSystem |
Finance |
|
Normally Run By | Finance Specialist | |
Anticipated Frequency | As required | |
Structure | Blocks | Financial Period |
Account | ||
Buttons | Org Units (overlay) | |
Fee Types (overlay) |
Account Codes are recorded in Callista against invoices and credit notes relating to Fee Assessment, and are also used in processes to disburse income. Transactions originating in the Student Finance Subsystem are posted to general ledger accounts with the same codes in the institution's external Financial System. The Account Codes specific to a Financial Reporting Period, which are recorded in this form, are those used to receive –
(In addition, for those institutions that record Scholarship Accounts, Account Codes can be set up for use in paying stipends to postgraduate students via an external payroll system.) For example, revenue accounts might be set up for particular Fees (e.g. Student Contribution Amount). For each Fee, there may be an account for current year revenue and a second account for revenue relating to the upcoming year. Taxable Fees (e.g. general service or amenities Fees) will also be allocated a Tax Account. Disbursement accounts may be set up for faculties and teaching departments to receive disbursed income from Fees. Tax amounts are not disbursed. |
The Financial Period block contains:
The Account block contains:
|
Rule/Notes: The Financial Period block operates in query mode only. Select the Financial Period against which Accounts Codes are to be recorded, or to view existing accounts for the period. Records presented in this block are active or planned instances of Calendar Types with a System defined Calendar Category of FINANCIAL. |
Use the Account block to record, for each Financial Period, those Account Codes needed for
Buttons display for existing accounts –
Both these overlay blocks are display only. |
Rules/Notes: For successful finance interface processing, ensure that all Account Codes recorded in this form match accounts existing in the external financial system. Account Codes should initially be recorded with an ACTIVE System Account Status. Accounts that should no longer be available in the current Financial Period or future Financial Periods can be made INACTIVE. They cannot be deleted while they are associated with a Fee Type, or while a dependent disbursement journal detail exists. A warning is given where making an Account Code INACTIVE leaves an Active Fee Type in a Fee Period without any Active Accounts. Currently, the System Account Status INVALID is not functional. |
Last Modified on 13 July, 2004