TABLE OF CONTENTS
I. REFERENCES...................................................................................................................... 1
UCSD Policy and Procedure Manual (PPM).......................................................................... 1
II. BACKGROUND/SCOPE........................................................................................................ 1
III. POLICY................................................................................................................................ 1
IV. PROCEDURES..................................................................................................................... 2
A. New Awards................................................................................................................. 2
B. Exception Account Codes for Sponsored Projects....................................................... 2
V. RESPONSIBILITIES............................................................................................................. 3
A. Extramural Funds Division(EMF).................................................................................. 3
B. Campus Departments................................................................................................... 3
C. Office of Contracts and Grants Administration
(OCGA)................................................. 3
D. Administrative Computing and Telecommunications................................................... 3
ACCOUNT CODE VALIDATION
I.
REFERENCES
UCSD Policy and Procedure Manual (PPM)
350-50 Guide to
Reading the IFIS Chart of Accounts
II.
BACKGROUND/SCOPE
The Account Code
Validation
(ACV) process is designed to identify Account Codes that are or may be out of
compliance with applicable regulations. The scope of the validation process
applies to prescribed Rule Classes for expenditures charged to federal and federal flow
through sponsored projects. Departments can identify such transactions through
the Account Code Validation process at the time of entry into IFIS.
III.
POLICY
University of
California policies prescribe that expenditures must comply with the policies
and procedures associated with the funding source being charged. Incorporated
in these policies is the requirement that only allowable expenditures can be
charged to a funding source with available funds.
IV.
PROCEDURES
A.
New Awards
1.
Office of Contract and Grant Administration (OCGA)
Upon
receipt of a sponsored project award, OCGA reviews the award for any special
financial terms and conditions. Based on this review, OCGA notifies Extramural
Funds and the responsible department that:
a.
the award has been received, and
b.
any special terms and conditions that apply.
2.
Extramural Funds (EMF)
As
sponsored project award notifications are received from OCGA, EMF identifies
exception Account Codes related to the financial terms and conditions of the
award.
a. EMF sets up
the fund in IFIS for Account Codes to be classified with an "E".
b. This Account
Code classification blocks prescribed transactions under the Account Code
Validation process in IFIS at the point of entry.
3.
Departments
Upon
receipt of the award notification from OCGA, responsible departments review the
award to identify those Account Codes to be monitored on expenditure
transactions for reconciliation reporting.
a.
Update the IFIS Account/Fund/XRef file for the new award with account
codes to be classified with a "W" .
This
list identifies Account Codes that have proven to be troublesome in the past
for expenditures charged to sponsored projects. A review of these Account Codes
to determine which of them should be monitored for the department's sponsored
projects is recommended.
Other
Account Codes of concern to the department may also be added to this file for
closer monitoring. The IFIS WARNACCT Screen is the screen template used to
update the Error Type field with a "W" in the IFIS Account/ Fund/XRef
file. The “W”
Account Code classification identifies the prescribed transactions for a
fund_organization_program with a “W” in FinancialLink's Annotator.
b.
Review transactions identified with “E”
or “W”
warning indicators on the FinancialLink Annotator and take corrective action as
required.
B.
Exception Account Codes for Sponsored Projects
As regulatory
conditions change for an award, the exception Account Codes related to that
award (fund) may be amended with additions or deletions.
1.
Office of Contract and Grant Administration (OCGA)
Based
on changes to sponsored project regulations, OCGA will keep Extramural Funds
apprised of these changes.
2.
Departments
Departments
may also request EMF to “E”
Code other Account Codes. This action will increase their control by blocking
specific expenditures at point of entry.
Note: These actions should apply to long-term conditions – several
months and not a few weeks. It should also be noted that exception Account
Codes are applied to all expenditures at the fund level.
3.
Extramural Funds Division (EMF)
EMF
determines how these changes apply to specific Account Codes used by the
Account Code Validation process for blocking transactions at the point of
entry. Based on their review, EMF performs the following:
a. Notifies
departments by e‑mail of the changes to the Account Code table for "E"
Account Codes. EMF will contact the department's Financial Manager unless
otherwise designated by the department's MSO.
b. Updates
the exception Account Code table used by IFIS to block prescribed transactions
in the Account Code Validation process.
c. Updates
list of Standard
Account Codes Requiring Expenditure Approval for Federal Awards as
applied to fund code ranges for federal awards.
This listing will
not be updated for exception Account Codes requested by the Department, as
these are limited to the requesting department's fund(s).
V.
RESPONSIBILITIES
A.
Extramural Funds Division (EMF) of Business and
Financial Services
Maintains a table
list used by IFIS for Account Codes requiring approval before they may be
accepted as a direct charge to a sponsored project.
Note: This
list is based on federal regulations common to most agencies. IFIS uses these
Account Codes as an edit to block related expenditures at their point of entry.
Refer to the exception list of Standard
Account Codes Requiring Expenditure Approval for Federal Awards.
B.
Campus Departments
1.
Identify Account Codes for a specific fund/organization/program that are
invalid in many cases.
Note: IFIS uses these account code/fund_organization_program
combinations to tag an expenditure transaction with a "warning" code
when a match is achieved. The tagged transactions are listed in the
FinancialLink Annotator Report for the department's review.
2.
Correct the transactions with "warning" messages in the
Annotator Report (noted by a “W”)
if required.
Note: A Non-Payroll Expense Transfer usually achieves the
needed corrective action. Until follow‑up action occurs, IFIS treats
these items as "accepted" transactions.
C.
Office of Contract and Grant Administration (OCGA)
1.
Reviews financial terms and conditions of the award to determine if
there are any additions to the list of Standard
Account Codes Requiring Expenditure Approval for Federal Awards.
2.
Notifies EMF of specific award exceptions for "E"
Code classifications.
D.
Administrative
Computing and Telecommunications
1.
Maintains the systems capability to block at the point of entry certain
Account Code expenditure activity within specified fund ranges for federal
awards as authorized by EMF Division
2.
Maintains the systems capability to provide campus departments the
ability to:
a.
identify certain account codes for warning message application on a
specific fund_organization_program's transactions, and
b. report
these transactions on FinancialLink's Ledger Annotator for the departments'
follow‑up action.