KFS Object Code Descriptions

Similar documents
Financial Report to the Board of Trustees

TABLE OF CONTENTS CHAPTER 9

Lane County, Oregon Statement of Net Assets June 30, Governmental Activities. Business-type

! "#$ %&!& "& ' &*!&-.,,5///2!(.//+ & $!- )!* & % +, -).//0)& 7+00///2 *&&.4 &*!&- 7.00///2 )!*.//+ 8 -!% %& "#$ ) &!&.

CITY OF DES MOINES, IOWA BALANCE SHEET GOVERNMENTAL FUNDS June 30, 2013

STATE OF FLORIDA DEPARTMENT OF BUSINESS AND PROFESSIONAL REGULATION. BALANCE SHEET As of

CONSOLIDATED STATEMENT OF INCOME

Consolidated Balance Sheets

Account Numbering. By separating each account by several numbers, many new accounts can be added between any two while maintaining the logical order.

CHAPTER 7 General Journal Entries

3. CONSOLIDATED QUARTERLY FINANCIAL STATEMENTS

University of South Florida System and DSO/Component Unit Quarterly Financial Reports QUARTER 3 FOR FISCAL YEAR

COMPONENTS OF THE STATEMENT OF CASH FLOWS

Consolidated Financial Statements (For the fiscal year ended March 31, 2013)

CONSOLIDATED INCOME STATEMENTS

Financial Statements. October 31, 2012

Section A: Questions On Fill In The Blanks

Chapter 75 - Uniform Chart of Accounts

Vizrt Group AS Reports Q Results

Case Western Reserve University Consolidated Financial Statements for the Year Ending June 30, 2001

CITY OF COLEMAN, TEXAS FINANCIAL STATEMENTS AND INDEPENDENT AUDITOR'S REPORT SEPTEMBER 30, 2014

Basic Benchmarking Data Definitions

CHAPTER II GENERAL LEDGER ACCOUNTS

CHAPTER E GAAP OFFSET TRANSACTIONS

Audited Prior Period 31 December 2014

Operating Working Capital Drills

CALIFORNIA STATE UNIVERSITY, SAN MARCOS. Financial Statements. June 30, 2005 and (With Independent Auditors Report Thereon)

CHAPTER 7 General Journal Entries

Consolidated and Non-Consolidated Financial Statements

Consolidated Financial Results for Fiscal Year 2013 (April 1, 2013 March 31, 2014)

Total Expenses. Modified Assets. Total Revenues

Warren Consolidated Schools. Financial Report with Supplemental Information June 30, 2014

EXERCISES. The cash from operating activities detail is provided as follows for class discussion:

How To Balance Sheet

Cash is King. cash flow is less likely to be affected

APPENDIX 1 The Statement of Financial Position

Vol. 1, Chapter 7 The Statement of Cash Flows

AUDIT REPORT of DUBOIS AREA SCHOOL DISTRICT. DuBois, Pennsylvania A.U.N For The Year Ended June 30, 2013

As of December 31, As of December 31, Assets Current assets:

SEAGATE TECHNOLOGY PLC CONDENSED CONSOLIDATED BALANCE SHEETS

City of Villa Rica. The Mill Amphitheater in Villa Rica, GA Photo Credit: Michael Valentine

ČEZ, a. s. BALANCE SHEET in accordance with IFRS as of June 30, 2014 in CZK Millions

CAPITAL ASSET/LONG TERM DEBT ACCOUNTING ENTRY EXAMPLES

ANADOLU ANONİM TÜRK SİGORTA ŞİRKETİ DETAILED BALANCE SHEET

ANADOLU ANONİM TÜRK SİGORTA ŞİRKETİ DETAILED BALANCE SHEET. ASSETS Unaudited Current Audited Previous Dipnot I- Current Assets

UNITED STATES BANKRUPTCY COURT NORTHERN & EASTERN DISTRICTS OF TEXAS REGION 6 MONTHLY OPERATING REPORT

Cash Flow Analysis Modified UCA Cash Flow Format

Audited (Restated) (*)

Consolidated Financial Results for Six Months Ended September 30, 2007

CHAPTER 23. Statement of Cash Flows 1, 2, 7, 8, 12 3, 4, 5, 6, 16, 17, 19 9, 20 4, 5, 9, 10, 11 10, 13, 15, Worksheet adjustments.

ACCOUNTING AND FINANCIAL MANAGEMENT POLICY

ACER INCORPORATED AND SUBSIDIARIES. Consolidated Balance Sheets

ANADOLU ANONİM TÜRK SİGORTA ŞİRKETİ DETAILED BALANCE SHEET ASSETS

Charter Township of Fenton. Financial Report with Supplemental Information December 31, 2013

HEBREW HOME OF GREATER WASHINGTON, INC. AND LANDOW HOUSE, INC. CONSOLIDATED BALANCE SHEET. September 30, 2012

Balance Sheet /516 Accounting Spring Professor S.Roychowdhury. Sloan School of Management Massachusetts Institute of Technology

Summary of Financial Report for the FY ending March 2015 (Non-Consolidated)

CASH FLOW STATEMENT & BALANCE SHEET GUIDE

SAMPLE CONSTRUCTION FINANCIAL STATEMENT

A contractor s chart of accounts is the heart of the accounting system. Of particular importance is the cost of sales section (beginning in the 41000

General Ledger Accounts Report

E2-2: Identifying Financing, Investing and Operating Transactions?

NORWEGIAN CRUISE LINE HOLDINGS LTD. CONSOLIDATED STATEMENTS OF OPERATIONS (unaudited, in thousands, except share and per share data)

ASSETS. Are cash and other Assets expected to be converted into cash, either in One Year or in the operating cycle, which ever is longer.

CASH FLOW STATEMENT. On the statement, cash flows are segregated based on source:

Example Accounting/Financial Policies

Anadolu Hayat Emeklilik Anonim Şirketi Consolidated Balance Sheet As At 31 December 2015 (Currency: Turkish Lira (TRY))

Ohio University (a component unit of the State of Ohio) Financial Statements for the Years Ended June 30, 2014 and 2013

Chart of Accounts for JD Edwards EnterpriseOne (Oracle Business Accelerators North America) An Oracle White Paper January 2008

Statement of Cash Flow

LIQUIDATION ANALYSIS

SanDisk Corporation Preliminary Condensed Consolidated Statements of Operations (in thousands, except per share amounts, unaudited)

Consolidated Financial Summary For the third quarter of the fiscal year ending March 31, 2009

Notes to Consolidated Financial Statements Notes to Non-consolidated Financial Statements

General Ledger Year-End Procedures 2014

Consolidated Financial Statements 2009

Brief Report on Closing of Accounts (connection) for the Term Ended March 31, 2007

ČEZ, a. s. BALANCE SHEET in accordance with IFRS as of March 31, 2015 in CZK Millions

Course pack Accounting 202 Chapter 13: Cash Flow Statement

Analyzing Cash Flows. April 2013

WITH REPORTS OF INDEPENDENT AUDITORS

AvivaSA Emeklilik ve Hayat Anonim Şirketi

how to prepare a cash flow statement

Transcription:

KFS Object Code Descriptions Asset, Liability & Fund Balance Object Codes Kuali Implementation Team 2012

KFS Asset, Liability & Fund Balance Object Code Descriptions Consolidation Level Range Page ASTC CSHC (Cash and Cash Equivalents - Current) 1100-1155 4 ASTC AR (Accounts Receivable - Net) 1160-1255 4 ASTC STLC (Student Loans Receivable - Net Current) 1280 5 ASTC DFST (Due from State of Connecticut) 1305-1315 5 ASTC DFRA (Due from Related Agencies) 1350 5 ASTC SDSS (State Debt Service Commitment - Short 1400-1405 5 Term) ASTC INVT (Inventories) 1450 5 ASTC DWBT (Deposit With Bond Trustee) 1500 6 ASTC DCST (Deferred Charges - Short Term) 1550 6 ASTC OCAS (Other Current Assets) 1600, 1610 6 ASTC PPEX (Prepaid Expenses) 1605 6 ASTC DUFM (Internal Transfer from Other Account) 1650-1655 6 ASTN INVE (Investments) 1710-1725 6 ASTN STLN (Student Loans Receivable - Net 1750-1778 6 Noncurrent) ASTN SDSL (State Debt Service Commitment - Short 1790 7 Term) ASTN PLNT(Plant) 1800-1880 7 ASTN DCLT (Deferred Charges - Long Term) 1900-1915 7 LIBC APAY (Accounts Payable) 2100 8 LIBC DINC (Deferred Income) 2110-2190 8 LIBC WPAY (Wages Payable) 2200-2210 8 LIBC CPAS (Compensated Balances - Short Term) 2250 8 LIBC DTCT (Due to State of Connecticut) 2295-2310 9 LIBC DTAF (Due to Affiliate) 2350 9 2

LIBC DTRA (Due to Related Agency) 2400 9 LIBC LTDS (Long Term Debt/ Bonds Pay - Short 2450 9 Term) LIBC OLIA (Other Current Liabilities) 2500-2540 9 LIBC DUTO (Internal Transfer to Other Account) 2650-2655 9 LIBN CPAL (Compensated Balances - Long Term) 2700-2710 9 LIBN DHFO (Deposits Held For Others) 2750 10 LIBN LTDL (Long Term Debt/ Bonds Pay - Long 2800-2860 10 Term) LIBN RFLP (Refundable for Federal Loan Program) 2900 10 FDBL FBAL (Fund Balance) 3000-3150 10 FDTR FTRA (Fund Transfers) 3200-3310 10 3

Assets Cash and Cash Equivalents - Current - Level Code: CSHC 1100 Claim On Cash: (FRS: 1100) 1110 Cash In Bank: (Effective 7/1/2012) 1111 Cashier s Change Fund: (FRS: 1111) 1121 Guaranteed Loan Deposits: (FRS: 1121) 1122 Cash Change Over (Under): (FRS: 1122) 1124 Bank Reconciliation Difference: (FRS: 1124) 1130 Cash Dining Services: (FRS: 1130) 1132 Petty Cash Snack Bar: (FRS: 1132) 1140 Cash Overseas: (Effective 7/1/2012) 1141 Cash Overseas France: (FRS: 1141) 1142 Cash Overseas Italy: (FRS: 1142) 1143 Cash Overseas London: (FRS: 1143) 1144 Cash Overseas Granada: (FRS: 1144) 1150 STIF Local: (FRS: 1211) 1155 Short Term Investment: (FRS: 1220) Accounts Receivable - Net - Level Code: AR 1160 Petty Cash Advances to Department: (FRS: 1350) 1165 Petty Cash Advances to Individual: (FRS: 1351) 1170 Cash Advances Travel: (Effective 7/1/2012) 1175 Cash Advances Research: (Effective 7/1/2012) 1180 Unencumbered Allotment Balance: (FRS: 1310) 1185 Cash Advances Study Abroad: (Effective 7/1/2012) 1190 Cash Advances Other: (Effective 7/1/2012) 1200 A/R Student: (FRS: 1320) 4

1201 Accounts Receivable: (Effective 7/1/2012) 1205 A/R Vendor: (FRS: 1325) 1206 A/R Non Student Offset: (Effective 7/1/2012) 1210 Balance of Award: (FRS: 1340) 1215 Total Award: (FRS: 1341) 1220 Award Expended: (FRS: 1342) 1225 Billed To Sponsor: (FRS: 1343) 1230 Amount Received From Sponsor: (FRS: 1344) 1235 Letter of Credit Clearing: (FRS: 1345) 1240 Rev. Over Exp. Balance Award Offset: (FRS: 1346) 1245 Investment Income Receivable: (FRS: 1370) 1250 A/R Other: (FRS: 1380) 1252 A/R State Comptroller - Tele: (FRS: 1382) 1255 Allowance for Bad Debts: (FRS: 1390) Student Loans Receivable - Net Current - Level Code: STLC 1280 Student Loans Receivable, Net: (FRS: 1400) Due from State of Connecticut - Level Code: DFST 1305 A/R State Comptroller Fringe: (FRS: 1381) 1310 A/R State Comptroller Fringe Rec: (FRS: 1384) 1315 A/R State Comptroller Wage: (FRS: 1389) Due from Related Agencies - Level Code: DFRA 1350 Due from Related Agencies: (FRS: 1385) State Debt Service Commitment - Short Term - Level Code: SDSS 1400 A/R General Obligations UConn2000: (FRS: 1383) 1405 A/R Debt Service Commitment Current: (FRS: 1378) Inventories - Level Code: INVT 1450 Inventories: (FRS: 1510) 5

Deposit With Bond Trustee - Level Code: DWBT 1500 Deposit With Bond Trustee: (FRS: 1210) Deferred Charges - Short Term - Level Code: DCST 1550 Deferred Charges: (FRS: 1670) Other Current Assets - Level Code: OCAS 1600 Suspense Clearing: (FRS: 1600) 1610 Bad Check Clearing: (FRS: 1651) Prepaid Expenses - Level Code: PPEX 1605 Prepaid Expense: (FRS: 1640) Internal Transfer from Other Account - Level Code: DUFM 1650 Due from Other Account: (FRS: 1890) 1655 Due from Internal Loans: (FRS: 1891) Investments - Level Code: INVE 1710 Endowment Investment Cost: (FRS: 1228) 1715 Endowment Investment Fair Value: (FRS: 1229) 1720 Investment in Trust by Other: (FRS: 1250) 1725 Other Investments: (FRS: 1280) Student Loans Receivable - Net Noncurrent - Level Code: STLN 1750 Federal Loans Receivable Advance: (FRS: 1410) 1752 Federal Loans Receivable Repayment: (FRS: 1420) 1754 Federal Loans Receivable Cancel: (FRS: 1430) 1756 Fed Loans Rec Cancel Compromised: (FRS: 1431) 1758 Fed Loans Rec Cancel Teachers: (FRS: 1432) 1760 Fed Loans Rec Cancel Military: (FRS: 1433) 1762 Fed Loans Rec Cancel Death: (FRS: 1434) 1764 Fed Loans Rec Cancel Bankruptcy: (FRS: 1435) 1766 Fed Loans Rec Cancel Disability: (FRS: 1436) 6

1768 Fed Loans Rec Cancel Peace: (FRS: 1437) 1770 Fed Loans Rec Cancel Law Enforce: (FRS: 1438) 1772 Fed Loans Rec Assigned: (FRS: 1440) 1774 Fed Loans Rec Other Advance: (FRS: 1445) 1776 Loans Receivable Non Federal: (FRS: 1450) 1778 Allowance For Doubtful Loan: (FRS: 1490) State Debt Service Commitment - Short Term - Level Code: SDSL 1790 State Debt Service Commitment: (FRS: 1383) Plant - Level Code: PLNT 1800 Land: (FRS: 1710) 1820 Non Structural Improvements: (FRS: 1720) 1825 NSI Accumulated Depreciation: (FRS: 1725) 1830 Buildings: (FRS: 1730) 1835 Buildings Accumulated Depreciation: (FRS: 1735) 1840 Equipment: (FRS: 1740) 1845 Equipment Accumulated Depreciation: (FRS: 1745) 1850 Library Materials: (FRS: 1750) 1855 Art/Collections: (FRS: 1760) 1860 Intangible Assets: (FRS: 1860) 1865 Intangible Accumulated Amortization: (FRS: 1865) 1880 Construction In Progress: (FRS: 1770) Deferred Charges - Long Term - Level Code: DCLT 1900 Underwriter's Expenses: (FRS: 1242) 1905 Municipal Bond Insurance Assoc. Exp.: (FRS: 1243) 1910 Miscellaneous Cost of Issuance: (FRS: 1244) 1915 Accumulated Amortization COI: (FRS: 1249) 7

Liabilities Accounts Payable - Level Code: APAY 2100 Accounts Payable: (FRS: 2100) Deferred Income - Level Code: DINC 2110 Deferred Income Other: (FRS: 2450) 2115 Deferred Income Student: (FRS: 2453) 2120 Deferred Income Jorgensen: (FRS: 2454) 2125 Deferred Income Social Work: (FRS: 2460) 2130 Deferred Income Storrs: (FRS: 2463) 2135 Deferred Income Hartford: (FRS: 2464) 2140 Deferred Income Stamford: (FRS: 2465) 2145 Deferred Income Torrington: (FRS: 2466) 2150 Deferred Income Waterbury: (FRS: 2467) 2155 Deferred Income Avery Point: (FRS: 2468) 2160 Deferred Income Law School: (FRS: 2469) 2165 Deferred Income Regular Tickets: (FRS: 2480) 2170 Deferred Income Student Tickets: (FRS: 2481) 2175 Deferred Income Parking: (FRS: 2482) 2180 Deferred Income Media Guide: (FRS: 2483) 2185 Deferred Income Process Fee: (FRS: 2484) 2190 Deferred Income Credit Card: (Effective 7/1/2012) Wages Payable - Level Code: WPAY 2200 Accrued Payroll 2 Week Holdback: (FRS: 2410) 2205 Accrued Payroll 9 Month Employee: (FRS: 2411) 2210 Accrued Payroll Dining Services: (FRS: 2419) Compensated Balances - Short Term - Level Code: CPAS 2250 Compensated Absences: (FRS: 2400) 8

Due to State of Connecticut - Level Code: DTCT 2295 A/P State Comptroller Other: (FRS: 2383) 2300 A/P State Comptroller Fringes: (FRS: 2380) 2305 State Sales Tax: (FRS: 2701) 2310 Refund Of Expenditure: (FRS: 2709) Due to Affiliate - Level Code: DTAF 2350 Due To Affiliate (UCHC): (FRS: 2431) Due to Related Agency - Level Code: DTRA 2400 Due To Related Agency: (FRS: 2384) Long Term Debt/ Bonds Pay - Short Term - Level Code: LTDS 2450 Current Portion of LT Debt Payable: (FRS: 2609) Other Current Liabilities - Level Code: OLIA 2500 Other Liabilities: (FRS: 2190) 2505 Accrued Interest: (FRS: 2420) 2510 Other Accruals: (FRS: 2430) 2515 General Clearing: (FRS: 2800) 2516 OSP Clearing: (Effective 7/1/2012) 2520 Undistributed Income Clearing: (FRS: 2801) 2525 Voided Checks Storrs: (FRS: 2811) 2530 Cash Clearing: (FRS: 2830) 2540 Accounts Receivable Clearing: (Effective 7/1/2012) Internal Transfer to Other Account - Level Code: DUTO 2650 Due To Other Account: (FRS: 2890) 2655 Due To Internal Loan: (FRS: 2891) Compensated Balances - Long Term - Level Code: CPAL 2700 Accrued Payroll Vacation: (FRS: 2412) 2705 Accrued Payroll Sick Leave: (FRS: 2413) 9

2710 Accrued Payroll Holiday & Compens: (FRS: 2414) Deposits Held For Others - Level Code: DHFO 2750 Deposits Held For Others: (FRS: 2500) Long Term Debt/ Bonds Pay - Long Term - Level Code: LTDL 2800 Long-Term Debt General Obligation: (FRS: 2600) 2805 Long-Term Debt Revenue Bonds: (FRS: 2601) 2810 Long-Term Debt Self Liquidating Bond: (FRS: 2602) 2815 Long-Term Debt Other: (FRS: 2603) 2850 Premium/Discount/Difference Bonds: (FRS: 1241) 2860 Accum Amort Prem/Disc/Diff: (FRS: 1248) Refundable for Federal Loan Program - Level Code: RFLP 2900 Refundable For Federal Loan Program: (FRS: 2191) Fund Balances Fund Balance - Level Code: FBAL 3000 Fund Balance: (FRS: 3100-3770, 4011-4080) 3010 Nominal Expense Closeout: (Effective 7/1/2012) 3015 Nominal Revenue Closeout: (Effective 7/1/2012) 3100 Fund Balance Offset: (Effective 7/1/2012) 3150 Prior Year Adjustment: (FRS: 5098) Fund Transfers Fund Transfers - Level Code: FTRA 3200 Intrafund Transfer In: (FRS: 4090 or 4091) 3205 Interfund Transfer In: (FRS: 4092) 3210 Interfund Transfer In Mandatory: (FRS: 4097) 3300 Intrafund Transfer Out: (FRS: 5091) 10

3305 Interfund Transfer Out: (FRS: 5092) 3310 Interfund Transfer Out Mandatory: (FRS: 5097) 11