Funds Available
Funds available refers to the amount of money remaining in a cost centre at any given time. If you���re responsible for a cost centre, you have financial responsibility for managing the cost centre balances prudently.
Should a cost centre go into a deficit balance, every effort should be made to resolve or clear the deficit as soon as possible. If you manage a cost centre, you���re encouraged to view funds available on a regular basis to stay informed of balances.
Viewing funds available in the financial system
There are two ways to view funds available balance in the ��� by viewing the funds available inquiry screen or by running the RU Revenue Expense 3 selection report or 91心頭利 Revenue/Expense - 3 selections report.
To view your cost centre's funds available in the financial system, you'll need to complete a set of required fields. These fields tell the system which budget���s funds you want to view and how you���d like your screen customized.
To help you proceed, here's an explanation of each field in the Funds Available Inquiry in the financial system:
Field name |
Explanation |
|---|---|
Ledger |
Identifies the main financial set of books |
Budget |
Refers to a department budget for the fiscal year or project budgets |
Period |
The last month you want included in your inquiry |
Amount type |
Tells the system how to calculate the funds available. You can choose from:
|
Encumbrance type |
Allows you to see the funds reserved for goods or services ordered but not yet received or paid for. Choose from:
|
Account level |
While you have the option of changing this field, please leave this option on the default ���All��� as you���ll have the opportunity to view your report in ���summary��� or ���detail��� formats in the chart of accounts window, which comes in the next step. |
Once you complete the Funds Available Inquiry, you���ll be prompted to fill out the chart of accounts.
Viewing the RU Revenue/Expense 3 selection report
This report measures budgets against expenditures and encumbrances to determine funds availability. The report displays detailed as well as summary-level information, including:
| Field name | Explanation |
| Original budget | Represents the approved budget as of May 1 of each fiscal year |
| Revised budget | This column is the total of all budget transactions in your cost centre. This includes original, base and temporary budget transactions. |
| Encumbrance | This column is a total of all encumbrances in your cost centre. Encumbrances can be for salary, benefits and/or goods and services committed but not paid for. |
| Actual | This column represents all actual transactions posted to your cost centre. This could include salary, benefits, payment to vendors and journal transfers. |
| Funds available | This column shows the funds remaining in the cost centre. The formula is revised budget, less encumbrances, less actuals = Funds available |
A Funds Available number in brackets represents a deficit balance and needs to be reviewed.
Fund description |
Fund summary |
Fund |
Amount type |
Ancillary |
AN |
14, 15, 16 |
YTDE |
Operating |
OP |
11, 13 |
YTDE |
PACAR |
PR |
36 |
PJTD |
Prof. Devlp |
PD |
12 |
YTDE |
Capital project |
CP |
84 |
PJTD |
Miscellaneous |
MS |
35, 37, 38, 39 |
PJTD |
Project |
PJ |
51 |
PJTD |
Special activity |
SA |
33, 34 |
PJTD |
Trusts |
TR |
60-62 |
PJTD |
For more information on the chart of accounts, visit the Understanding 91心頭利���s Chart of Accounts page for an explanation of chart categories.