Daily Reporting: The Government s Bank Statement



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Transcription:

Daily Reporting: The Government s Bank Statement Tools for Reconciling FBWT Maria Davis Governmentwide Accounting Customer Relationship Management Division August 2014

The Road to a Reconciled FBWT Review Reconciliation Process Discuss Reconciliation tools Screenshots of Recon tools Tips & Reminders for Reconciling as a CARS Reporter Page 2

Reconciling FBWT for Non or Partial CARS Reporters Treasury s source system data: ALC and $ Agency s month-end report: ALC, $, and TAS Statement of Difference vs 224, or 1219/1220, 1218/1221 = 6652 Page 3

SCORECARDING!!! Page 4

Page 5

CTA Sections Classification Transactions and Accountability Classification & Reclassification (224 Section 1, 1220, or 1221) Report dollar amounts of collections, disbursements, and intragovernmental transactions, classified to valid TAS Payments & IPAC (224 Section 2, 1218, or 1219) Report disbursement accountability total amounts from IPAC & TDO Payments THIS SECTION GOES AWAY ONCE PAYMENTS ARE CLASSIFIED WITH TAS BETC AT INITIATION Collections (224 Section 3, 1218, or 1219) Report collection accountability total amounts from CIR THIS SECTION GOES AWAY ONCE COLLECTIONS ARE CLASSIFIED WITH TAS BETC AT INITIATION Page 6

Treasury s source system data Reconciliation Processes Agency s month-end report Statement of Difference vs 224, or 1219/1220, 1218/1221 = 6652 Treasury s source system data vs Agency s internal records (GL posting) Page 7

Reconciling FBWT for CARS (TAS BETC) Reporters Treasury s source system data: ALC, $, and TAS vs Agency s internal records (GL posting) FBWT Page 8

Reconciliation Tools Account and/or ALC Statement view TAS BETC even as Non-CARS Reporter view and/or download daily provisional txns additional data elements available customizable formats/layouts Reclassification upload bulk file online entry at summary level, using current CTA app online entry at transaction level, using Account Statement transaction details Page 9

CARS Homepage Read important messages posted here Notices, News, System Alerts. Click this link to see User Profile shows access to applications and assigned roles. Also can change TAS views, to see Component vs String formats. Page 10

CARS Profile CGAC User (TAS Component) Set to Yes if you would like to enter transactions using the TAS Component Format and BETCs, or for viewing/downloading reports in the TAS Component Format and BETCs. Page 11

Examples of String Format vs Component Transaction Entry Page 12

Examples of String Format vs Component Report View Page 13

ALC Statement - Provisional Balance Display for a CARS Reporter Choose the current accounting period and select Provisional to see the data that has been reported so far in the current accounting period, then View Transactions. Page 14

Each + (plus sign) can be expanded to see further details/breakdowns Page 15

ALC Transaction Level Report This ALC transaction level is recommended for reconciliation. Note the Download or Print in PDF options. Click on the View Detail icon to see specific details of each transaction. Page 16

Transaction Detail Report - IPAC This is the lowest level of detail you can retrieve from the Acct Stmt. This example shows the additional IPAC details available for a CARS IPAC Reporter. Page 17

Transaction Detail Report - Collections This example shows the additional Collection details available for a CARS Collection Reporter. Page 18

Transaction Detail Report - Payment This example shows the additional Payment details available for a CARS Payment Reporter. Page 19

Transaction Download Inquiry If you select Download, this screen would allow you to choose which data elements to include in your report (in CSV or Excel). There are about 50 available data elements. You will usually want to check these two boxes as well for the cleanest download with headings and your chosen search criteria. Page 20

Transaction Detail Download - Excel This is the result of a downloaded Excel report using only 15 data elements Page 21

The Main Event Reclass vs. CTA Section One No fight needed 3 Ways: Summary Txn detail Bulk Page 22

Reclassifying from Account Statement As a Full CARS Reporter, Agency users can Reclassify a transaction directly from the Account Statement Click this icon to be automatically redirected to the CTA Reclass screen/section1 CTA Page 23

Reclassifying from Account Statement Negating transaction pre-populates, allowing the user to reclassify the dollar amount to different account(s) as needed Page 24

Bulk Reclassification Can continue to use current CTA file layout with old String TAS format (eventually retire this format, but no official date yet) - OR Can switch to using new TAS Component format, refer to: http://www.fms.treas.gov/cars/cta-224-bulkfile-09-26-11.pdf Page 25

Tips & Reminders for Reconciling as a CARS Reporter 1. Download Provisional transactions before end of month, as only the Current Accounting Month will be available Provisional details for the last day of the month won t be available due to the rollover to the new month, but summary level will be available in official posted view. This limitation will be eliminated once CARS is system of record. For assistance, call Treasury Support Center on (877) 440-9476 2. Always view Statement from the ALC perspective to see all the various TAS BETCs being reported for/against your ALC This view would show defaulted transactions as well Page 26

Tips & Reminders for Reconciling as a CARS Reporter Continued 3. Ensure your system default accounts are reconciled and reclassified timely: F3500 for payment and collection transactions F3502 for intragovernmental transactions These accounts are shared across all bureaus within a Dept. 4. Reclassifications & CTA Partial 224 (or 1219/1220, 1218/1221) reporting due by 4 th workday 1 extra day for reporting since Collection and Payment transactions are not available in Acct Stmt s official posted view until morning of 3 rd workday Page 27

Reconciliation Assistance GWA Cash Accounting Division s Cash Analysis Branch is here to help FBWT and SoD Assistance via email, phone, webinar or local travel Contact: Crystal Madison, CAD Cash Analysis Branch Director (Crystal.Madison@fiscal.treasury.gov), 202-874-7752 Nancy Dooley, Subject Matter Expert (Nancy.Dooley@fiscal.treasury.gov), 202-874-9866 Page 28

Contact Information Maria Davis Customer Relationship Management Division (202) 874-8079 Maria.Davis@fiscal.treasury.gov GWA.CRMD.USERS@fiscal.treasury.gov Treasury Support Center (877) 440-9476 Page 29