CAPITALIZED INVENTORY PROCEDURES



Similar documents
AVDC Document Management System Getting Started

External Account Creation and Upload Instructions for the Local Government (LG) Audit Report Collection System

Your Archiving Service

Employee Instructions for Setting up Direct Deposit

Lab: Data Backup and Recovery in Windows XP

CCMS Bulk Claim Upload Pilot Use Only

OVERVIEW AND TERMINOLOGY

Cascade Server CMS Quick Start Guide

How to create database in GlycomcsPortal?

Lab - Data Backup and Recovery in Windows XP

Loaning NOAA Personal Property

1603 Program Online System Guide Submitting Reviewer Requested Documentation Pages 6 8

Washington State Educator Electronic Certificate System (E-Certification) Educator User Guide

Property Inventory System

DOCQN. Account. CA Departm. Version 2.0

ClicktoFax Service Usage Manual

User manual for the visitors of Interreg Danube Programme website

AirWatch: Adding Internal and Public ibooks

Google Apps for Sharing Folders and Collecting Assignments

Creating a Poster in PowerPoint A. Set Up Your Poster

Creating Appointment Groups using Scheduler

Creating Responsive Drip Campaigns

EMERGENCY DISK RESTORE OPTION (AO REV EA) OPTION EDR

3dCart Shopping Cart Software V3.X Affiliate Program Guide

Terminal 4 Site Manager User Guide. Need help? Call the ITD Lab, x7471

Instructions for Uploading and Sending Transcripts to the CollegeforTN.org Transcript Exchange Chancery SMS IMPORTANT NOTES:

ITCS QUICK REFERENCE GUIDE: EXPRESSION WEB SITE

Searching and Applying for Positions

neditor.html

Salesforce Integration Version 1.2, published 15/04/ :45

Creating a Participants Mailing and/or Contact List:

Getting Started Guide - Desktop

USER GUIDE - May 2010

REPORTING CENTRAL EXTERNAL USER GUIDE FEDERAL RESERVE SYSTEM

Step-by-Step Guide Procurement Card & Travel Reconciliation Expense Reports: Step 4c Attaching Documents by Receipt Store to Individual Expenses

Creating and grading assignments

Display Zipped Files within D2L Content Window

User Manual - Sales Lead Tracking Software

ILLUMINATE ASSESSMENT REPORTS REFERENCE GUIDE

emarketing Manual- Creating a New

GOOGLE DOCS APPLICATION WORK WITH GOOGLE DOCUMENTS

Quick Reference Guide Course Homepage Management (Faculty)

About DropSend. Sending Files with DropSend

OneSourceFax Customer Guide

MSGCU SECURE MESSAGE CENTER

Terminal Four. Content Management System. Moderator Access

Online Scheduling Instructions

Electronic Ticket System

One Drive for Business User Guide

Inventory Manager. Getting started Usage and general How-To

Online Registration Instructions

SES PAS Senior Executive Service (SES) Performance Appraisal System (PAS)

How to Attach the Syllabus and Course Schedule to a Content Item

User Manual for Web. Help Desk Authority 9.0

Support for Counselors, Advisors, & Faculty Users

Your Setup Guide to Consumer Internet Banking What s Inside:

Set Up Account. To set up Express Marketing:

D2L: An introduction to CONTENT University of Wisconsin-Parkside

A. BACK UP YOUR CURRENT DATA. QuickBooks Business Accounting Software for Windows Account Conversion Instructions

Online Performance Reviews with PeopleAdmin

LOGER S INSTRUCTION MANUAL

Web Time Entry At Lindsey Wilson College. Approver s Guide

Engaged Management ReView Reviewer Guidelines V.1.0. Friday, March 11, 2015

Online Statements. About this guide. Important information

Link / Login / Logout Page 2. Home Page Page 2. Home Page Breakdown by Levels Page 3. Home Page Breakdown by Columns Page 3

Secure Collaboration User Guide for Workspace Creation and Use

FedEx Billing Online PDF Help Guide Invoiced Customers

COGNOS REPORTING SYSTEM USER GUIDE

Employee Instructions for Setting up Direct Deposit

Can I automatically be notified when new positions open?

Photo library user guide

Matrix Prospect and Client Management For Support: (800) Support Hours: M-F 8:30 AM 9:00 PM Sat-Sun: 10:00 AM 3:00 PM

Amerigroup Website User Guide for Providers: Provider Updates page 1

Student Records Home Page

Creating an Expense Report from a Blank Report Form. These instructions are designed for those who do NOT need a Travel Authorization.

Sharepoint Designer Mapping a Network Drive

Affirmation of Accurate Information On the next you must affirm that that you are providing complete and accurate information. If you affirm, click

IT HELP Desk Dashboard ManageEngine Service Desk Plus User Guide

Prepare and Submit your Planar Expense Report in 10 Easy Steps

Section Documents. Contents

ONLINE PROGRAM MANAGEMENT SYSTEM. Program Management System. Overview PRINTED ON 16/06/2009 PAGE 1 OF 10

How to Add Documents to Your Blackboard Class

Nintex Workflow for Project Server 2010 Help

SARS Anywhere Student Appointment and Scheduling System

How To Insert Hyperlinks In Powerpoint Powerpoint

Visual Streamline Task Scheduler Framework

GMass Getting Started Guide

Guide for Instructors A how-to guide on managing accommodation information for students with disabilities.

Event Management System (EMS) Room Scheduling Guide

Basic Smart Fax. For Support: (800) Support Hours: M-F 8:30 am 9:00 pm Sat-Sun: 10:00 am 3:00 pm

Working with the new enudge responsive styles

Transcription:

CAPITALIZED INVENTORY PROCEDURES Step by Step Procedures for Generating Capitalized Inventory (Note: If you get a blank report or your custodial account code isn t listed, this means that you do not have any capitalized assets. If this is the case, please follow the instructions on page 5.) 1) Log into Sunflower 2) Click on "Sunflower Enterprise Reports" 3) Click on "User Defined Reports" 1

4) Select "NOAA Financial Reports" 5) At next screen, select Physical Inventory Report Certification (By Custodian) 2

6) At next screen, click the drop down and select your custodian account code in the Custodian block 7) Click "Submit" 3

8) At the next screen, select "Acrobat" as the output format and click "Execute" 9) "Open" the file and print 4

IF YOU DO NOT HAVE CAPITAL ASSETS FOLLOW THESE STEPS: 1) Log into Sunflower 2) Click on "Sunflower Enterprise Reports" 3) Click on "User Defined Reports" 5

4) Select "NOAA Financial Reports" 5) Select Physical Inventory Report Certification (By Steward/No Asset) 6

6) At next screen, click the drop down and select your custodian account code in the Custodian block 7) Click "Submit" 7

8) At the next screen, select "Acrobat" as the output format and click "execute" 9) "Open" the file and print 8

All Capitalized Inventory Certifications will be routed using the Sunflower Inventory Certification Document Storage and Approval Process The Review Campaign name is 2014 CAPITALIZED ASSETS AUDIT. Sunflower Inventory Certification Document Storage and Approval Process These below process outline the steps needed to create, accept, deny, and run reports on Physical Inventory Certifications in Sunflower. 1. The Property Custodian must logs into Sunflower 2. Go the CD-50/52 Transaction Menu 3. Click to create physical inventory certification 9

4. Select the custodial area for this certification: 5. Select the Review Campaign for this certification: NOTE The Property Custodian can save this certifcation at any time by clicking the Save button, and then return to it by repeating steps 1-5 above. 10

6. The Property Custodian should insert comments about the inventory and attachments that will aid the PAO s review. 7. Upload the required inventory certification attachments: Physical Inventory Report Certification (By Custodian) Physical Inventory Report Certification (By Steward/No Asset) 8. Click on Browse Select the inventory PDF documents from your computer Click Open 11

9. Type the Description (always start with Custodial Area -and then the description) Click Add 10. The attachment is uploaded and appears at the bottom 11. Repeat the process for the other documents. NOTE- If the Property Custodian may delete an attachment by clicking the Delete button, and click SAVE. 12

12. Only click the Submit button when you are ready to submit to the Property Accountability Officer. NOTE- Once you submitted, the Property Custodian cannot make any changes unless the PAO deny the Certification. Only one certification is allowed per Custodial Area per Review Campaign. 13. The status will change to Waiting for PAO Approval once The Property Custodian submit and an email notification is sent to the Property Accountability Officer for that Custodial Area. 13

To Accept/Deny a Physical Inventory Certification 1. Log into Sunflower 2. Go the CD-50/52 Transaction Menu 3. Click to accept/deny a physical inventory certification 4. Select the appropriate Review Campaign, or type in the Custodial or PAO Area, and click Submit 14

5. Click on the Custodial Area you want to review/accept/deny. NOTE If the Status is Created, the Property Custodian has started the certification but has not yet submitted it. 6. If the Certification is waiting for your approval, you can do the following: View a document by clicking View Remove a document by clicking Delete?, then Save button Add a document: - Click Browse - Select a file from your computer - Click Open - Type a Description - Click Add NOTE- If the certification is not at your approval point, the documents will be in Read Only Mode. You can read the documents by clicking View. 15

Accept or Deny the request: - To Deny, click the Deny checkbox - Write in your reason for denial in the comments box - Click Save below - If denied, a notification email will be sent to the previous approver, and the certification status will update. - To Accept, click the Accept checkbox - Write in your reason for approval in the comments box - Click Save below - If approved, a notification email will be sent to the next approver, and the certification status will update. 16

Running Sunflower Inventory Certification Reports 1. Log into Sunflower and go to Sunflower Enterprise Reports 2. Click on User Defined Reports 17

3. Click on NOAA Specific CD50/52 Reports 4. Click on Physical Inventory Certification Status Report 18

5. Select the specific report parameters from the dropdowns listed: Review Campaign Line Office Organization Type in the Custodial Area or Line office Status- Search by a particular status 6. Click Submit 7. Select an output format and click execute 19

8. You should see the report: Report Title Page 2 nd Page Values listed 20