NCAS

FEDERAL FUNDS MONTH END RECONCILIATION

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Month_________________________

Report

Column Heading

Row Heading

Budget Code

l These Must =      
  BD702 MTD/QTD/YTD Ending Cash in Budget Code  
  AK 04 CURRENT BALANCES Previous Month Balance  
  BD800DET BALANCE Ending Cash Balance  
* GL Screen 016 ENDING BALANCE Period Closing  

 

Cash 111260      

 

      $

2 These Must =  
  BD702 YEAR TO DATE Excess Exp. over/under Rev. per BD701
  BD701-Cert. *ACTUAL*YEAR-TO-DATE Increase/Decrease in Fund Balance $

3a

These Must =  

 

BD800SUM YTD RECEIPTS Budget Code Number

**

AK 07 YTD RECEIPTS As of last entry for month closing $
   
3b BD800SUM YTD DISBURSEMENTS Budget Code Number

**

AK 08 YTD EXPENDITURES As of last entry for month closing $

4a These Must =

 

  BD800DET DEPOSITS/TRANS ADJ Period Balance
  BD800SUM CURRENT RECEIPTS Budget Code Number $
   
4b BD800DET DISBURSEMENTS/TR ADJ Period Balance
  BD800SUM DISBURSEMENTS Budget Code Number $


**

Entries in Cash Management (AK07, AK08) are listed by date entered, not effective date. In order to get the correct month-end balance for the month you are closing, be sure and include any entries made in the current month (or subtract current month entries from ending balance)
* You will not be able to use summary center 999999999999 in cases where there are multiple companies within a budget code or multiple budget codes within a company