2013 - 14 CENTRALIZED ACCOUNTS SAP ACCOUNT 2013 - 14 2012 - 13

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2013 - 14 CENTRALIZED ACCOUNTS
As of March 2014 Cyclical Closing
SAP ACCOUNT
2013 - 14
2012 - 13
BUS
AREA
FUND
GL
ACCNT
FCNTL
AREA
COST
CENTER
ACADEMIC SENATE-PRINTING
C000
10059
453100
6030
ZC001B
450.00
300
204.00
0.00
96.00
ACADEMIC SENATE - OTHER EXPENSE
C000
10059
589000
6030
ZC001B
1,456.93
2,200
143.85
0.00
2,056.15
ACADEMIC SENATE-INSTRUCTOR, N-TEACH,RE
D000
10059
121100
6030
Z0001B
166,992.00
108,696
129,450.00
40,136.00
-60,890.00
ACADEMIC SENATE-INSTRUCTION,N-TEACH H
D000
10059
141500
6030
Z0001B
71,131.60
183,971
89,710.64
0.00
94,260.36
ACADEMIC SENATE-OFF/CLERICAL, REG
D000
10059
213100
6030
Z0001B
0.00
7,500
0.00
0.00
7,500.00
ACADEMIC SENATE - UNCLASSIFIED, NON-INSTRUCTIONAL
D000
10059
239200
6030
Z0001B
0.00
2,000
0.00
0.00
2,000.00
ACADEMIC SENATE-DISTRIBUTED EMP BEN
D000
10059
392000
6030
Z0001B
29,655.79
1
24,317.39
0.00
-24,316.39
ACADEMIC SENATE-SUPPLIES
D000
10059
452100
6030
Z0001B
0.00
3,157
0.00
730.33
2,426.67
ACADEMIC SENATE - PRINTING
D000
10059
453100
6030
Z0001B
0.00
2,085
0.00
0.00
2,085.00
ACADEMIC SENATE-MEMBERSHIP
D000
10059
583100
6030
Z0001B
14,460.00
14,875
14,875.00
0.00
0.00
ACADEMIC SENATE-MILEAGE
D000
10059
584100
6030
Z0001B
3,534.54
3,100
710.21
0.00
2,389.79
ACADEMIC SENATE-TRAVEL EXPENSE
D000
10059
586100
6030
Z0001B
25,296.91
26,321
11,904.64
12,113.97
2,302.39
ACADEMIC SENATE-OTHER EXPENSE
D000
10059
589000
6030
Z0001B
5,231.40
7,900
7,000.00
0.00
900.00
ACADEMIC SENATE-EQUIPMENT
D000
10059
640100
6030
Z0001B
0.00
2,000
0.00
0.00
2,000.00
ACADEMIC SENATE-LOW VALUE, ASSET EQUIP
D000
10059
642300
6030
Z0001B
2,053.20
0
0.00
0.00
0.00
ACADEMIC SENATE - UNCLASSIFIED, NON-INSTRUCTION
E000
10059
239200
6030
ZE001B
140.30
0
0.00
0.00
0.00
ACADEMIC SENATE-SUPPLIES
E000
10059
452100
6030
ZE001B
291.47
2,000
0.00
0.00
2,000.00
ACADEMIC SENATE - OTHER EXPENSE
E000
10059
589000
6030
ZE001B
0.00
500
0.00
0.00
500.00
ACADEMIC SENATE-SUPPLIES
H000
10059
452100
6030
ZH001B
0.00
1,500
0.00
0.00
1,500.00
ACADEMIC SENATE-PRINTING
H000
10059
453100
6030
ZH001B
0.00
500
0.00
0.00
500.00
ACADEMIC SENATE-OTHER EXPENSE
H000
10059
589000
6030
ZH001B
0.00
500
0.00
0.00
500.00
ACADEMIC SENATE-UNCLASSIFIED, NON-INSTRUCTIONAL
M000
10059
239200
6030
ZM001B
0.00
500
0.00
0.00
500.00
ACADEMIC SENATE-SUPPLIES
M000
10059
392000
6030
ZM001B
0.00
0
-253.43
0.00
253.43
ACADEMIC SENATE-SUPPLIES
M000
10059
452100
6030
ZM001B
578.80
500
0.00
0.00
500.00
ACADEMIC SENATE-OTHER EXPENSE
M000
10059
589000
6030
ZM001B
1,417.00
500
0.00
0.00
500.00
ACADEMIC SENATE-LOW VALUE, EQUIP
M000
10059
642300
6030
ZM001B
0.00
1,000
0.00
0.00
1,000.00
ACADEMIC SENATE - OTHER EXPENSE
P000
10059
589000
6030
ZP001B
0.00
2,500
0.00
0.00
2,500.00
ACADEMIC SENATE-UNCLASSIFIED, NON-INSTRUCTIONAL
T000
10059
239200
6030
ZT001B
0.00
100
0.00
0.00
100.00
ACADEMIC SENATE - SUPPLIES
T000
10059
452100
6030
ZT001B
1,603.22
2,605
476.11
0.00
2,128.89
ACADEMIC SENEATE - UNCLASSIFIED, NON-INSTRUCTIONAL
V000
10059
239200
6030
ZV001B
124.20
0
0.00
0.00
0.00
ACADEMIC SENATE - SUPPLIES
V000
10059
452100
6030
ZV001B
1,860.01
2,500
0.00
0.00
2,500.00
ACADEMIC SENATE - SUPPLIES
W000
10059
452100
6030
ZW001B
541.98
800
0.00
0.00
800.00
DESCRIPTION
YEAR END
EXPEND
CURRENT
BUDGET
CURRENT
EXPEND
CURRENT
COMMITMENT
CURRENT
BALANCE
A. OPERATING BUDGETS
Thursday, April 17, 2014
Page 1 of 8
2013 - 14 CENTRALIZED ACCOUNTS
As of March 2014 Cyclical Closing
SAP ACCOUNT
2013 - 14
2012 - 13
BUS
AREA
FUND
GL
ACCNT
FCNTL
AREA
COST
CENTER
ACADEMIC SENATE-PRINTING
W000
10059
453100
6030
ZW001B
0.00
300
0.00
0.00
300.00
ACADEMIC SENATE-OTHER EXPENSE
W000
10059
589000
6030
ZW001B
1,457.23
1,400
1,299.00
0.00
101.00
LDP - INSTRUCTOR REGULAR
D000
10059
111100
6600
ZD002B
350.00
0
0.00
0.00
0.00
LDP - INSTRUCTIONAL, NON-TEACHING REGULAR
D000
10059
121100
6600
ZD002B
125.00
0
0.00
0.00
0.00
LDP - INSTRUCTIONAL, HOURLY
D000
10059
131500
6600
ZD002B
325.00
0
0.00
0.00
0.00
LDP - EMP BENEFITS
D000
10059
392000
6600
ZD002B
171.17
0
0.00
0.00
0.00
LDP - CONTRACT PRSNL SVCS
D000
10059
562100
6600
ZD002B
0.00
24,000
0.00
5,000.00
19,000.00
LDP - MEMBERSHIP
D000
10059
583100
6600
ZD002B
730.00
0
0.00
0.00
0.00
LDP - TRAVEL EXPENSE
D000
10059
586100
6600
ZD002B
6,437.06
0
0.00
0.00
0.00
LDP - OTHER EXPENSE
D000
10059
589000
6600
ZD002B
1,398.23
11,000
8,013.21
1,635.00
1,351.79
$9,536
$35,000
$8,013
$6,635
$20,352
AUDIT EXPENSE
D000
6710
Z0003B
565,180.00
1,239,999
501,200.00
171,298.60
567,500.40
$501,200
$171,299
BENEFITS - RETIREE MEDICAL
D000
10100
346000
6720
Z0080A
19,723,725.88
18,944,584
BENEFITS - RETIREE, DENTAL
D000
10100
346100
6720
Z0080A
111,820.80
BENEFITS - RETIREES, HRA
D000
10100
346500
6720
Z0080A
466,500.00
BENEFITS - RETIREE, DENTAL
D000
10100
348100
6720
Z0080A
BENEFITS - RETIREE, VISION
D000
10100
348200
6720
BENEFITS - RETIREE, EMP BEN DISTRIBUTED
D000
10100
392000
6720
CFAU - EMP BENEFITS
D000
10059
392000
6460
D0264B
67,515.32
0
0.00
0.00
CFAU - OFFICE & CLERICAL, REGULAR
D000
10151
213100
6460
D0264B
699,753.98
698,063
544,287.15
153,775.85
0.00
CFAU - OFF/CLERICAL, OVERTIME
D000
10151
233400
6460
D0264B
3,162.76
0
3,186.21
0.00
-3,186.21
CFAU - UNCLASSIFIED, NON- INSTRUCTION
D000
10151
239200
6460
D0264B
29,656.22
29,650
27,675.42
0.00
1,974.58
CFAU - DISTRIBUTED FRINGE BENEFITS & IN
D000
10151
392000
6460
D0264B
-39.48
1
85,226.86
0.00
-85,225.86
CFAI - ATTENDANCE INCENTIVE
D000
10151
395400
6460
D0264B
0.00
350
350.00
0.00
0.00
CFAU - SUPPLIES
D000
10151
452100
6460
D0264B
14,955.58
21,309
7,494.17
1,142.92
12,671.91
CFAU - PRINTING
D000
10151
453100
6460
D0264B
109,188.76
55,500
18,726.20
36,733.00
40.80
CFAU - TELEPHONE
D000
10151
550100
6460
D0264B
927.80
973
624.00
349.00
0.00
CFAU - POSTAGE AND MAIL SERVICE
D000
10151
552200
6460
D0264B
49,000.00
35,000
33,451.97
0.00
1,548.03
CFAU - RENTAL OF EQUIPMENT ALL OTHER
D000
10151
565100
6460
D0264B
260.51
581
260.96
39.64
280.40
CFAU - CONTRACTS, OTHER
D000
10151
569400
6460
D0264B
55,604.03
147,793
119,152.38
27,706.54
934.08
DESCRIPTION
FUNCTION TOTAL
573100
FUNCTION TOTAL
$565,180
CURRENT
EXPEND
$381,811
$1,239,999
CURRENT
COMMITMENT
$279,837
$52,980
CURRENT
BALANCE
$48,993
$567,500
14,187,660.82
0.00
4,756,923.18
119,422
81,060.98
0.00
38,361.02
510,000
414,000.00
0.00
96,000.00
2,619,425.45
2,437,758
1,700,467.11
0.00
737,290.89
Z0080A
478,205.52
482,851
269,214.99
0.00
213,636.01
Z0080A
0.00
0
-868.82
0.00
868.82
FUNCTION TOTAL
Thursday, April 17, 2014
CURRENT
BUDGET
$328,277
FUNCTION TOTAL
10059
YEAR END
EXPEND
$23,399,678
$22,494,615
$16,651,535
$0
$5,843,080
0.00
Page 2 of 8
2013 - 14 CENTRALIZED ACCOUNTS
As of March 2014 Cyclical Closing
SAP ACCOUNT
2013 - 14
2012 - 13
BUS
AREA
FUND
GL
ACCNT
FCNTL
AREA
COST
CENTER
CFAU - EQUIPMENT MAINTENANCE
D000
10151
582400
6460
D0264B
2,276.48
5,902
2,872.32
2,929.68
100.00
CFAU - MEMBERSHIP
D000
10151
583100
6460
D0264B
1,165.00
1,470
1,185.00
0.00
285.00
CFAU - MILEAGE
D000
10151
584100
6460
D0264B
1,342.65
1,400
195.84
0.00
1,204.16
CFAU - OTHER EXPENSE
D000
10151
589000
6460
D0264B
1,921.16
2,000
-40.00
372.44
1,667.56
CFAU - LOW VALUE ASSET EQUIPMENT
D000
10151
642300
6460
D0264B
6,326.43
6,001
0.00
0.01
6,000.99
CFAU - LEASE-PURCHASE EQUIP
D000
10151
652000
6460
D0264B
11,070.36
11,192
5,535.18
5,551.04
105.78
DOLORES HUERTA-INTRAFUND, UNRES/RETRICTED
D000
10059
739900
7310
Z6178B
0.00
208,000
208,000.00
0.00
0.00
DOLORES HUERTA-INTRAFUND, UNRES/RESTR
D000
10059
739900
6730
Z0095B
268,790.00
0
0.00
0.00
0.00
$0
$0
DW MARKETING (PUBLIC RELATIONS) SUPPLIES
D000
10059
452100
6770
Z0056B
1,231.31
1
0.00
0.01
0.99
DW MARKETING (PUBLIC RELATIONS)-CNTRCT PERSNAL SV
D000
10059
562100
6770
Z0056B
230,733.08
284,506
61,134.05
97,031.00
126,340.95
DW MARKETING (PUBLIC RELATIONS) - ADVERTISING
D000
10059
587100
6770
Z0056B
8,500.00
43,000
16,247.90
6,444.00
20,308.10
EMPLOYEE ASSISTANCE PROGRAM-UNCLASSIFIED, NON-INS
D000
10059
239200
6730
Z0011B
4,052.60
0
0.00
0.00
0.00
EMPLOYEE ASSISTANCE PROGRAM - SUPPLIES
D000
10059
452100
6730
Z0011B
0.00
30,328
5,440.97
476.31
24,410.72
EMPLOYEE ASSISTANCE PROG - PRINTING
D000
10059
453100
6730
Z0011B
0.00
2,000
0.00
0.00
2,000.00
EMPLOYEE ASSIST PROGRAM - CONTRACT
D000
10059
562100
6730
Z0011B
136,703.42
167,491
101,062.84
66,427.82
0.34
EMPLOYEE ASSISTANCE PROG - MILEAGE
D000
10059
584100
6730
Z0011B
0.00
500
0.00
0.00
500.00
EMPLOYEE ASSISTANCE PROGRAM - OTHER EXP
D000
10059
589000
6730
Z0011B
946.53
5,318
289.62
2,317.36
2,711.02
ENVIRONMENTAL HEALTH & SAFETY-SUPPLIES
D000
10059
452100
6770
Z0012B
18,615.32
20,591
6,787.07
7,759.00
6,044.93
ENVIRONMENTAL HEALTH & SAFETY-PRINTING
D000
10059
453100
6770
Z0012B
0.00
1,000
0.00
0.00
1,000.00
ENVIRONMENTAL HEALTH & SAFETY - PHONE
D000
10059
550100
6770
Z0012B
0.00
500
0.00
0.00
500.00
ENVIRONMENTAL HEALTH & SAFETY-CONTRCT PRSN
D000
10059
562100
6770
Z0012B
265,650.85
346,285
207,052.30
111,151.48
28,081.22
ENVIRONMENTAL HEALTH & SAFETY-MILEAGE
D000
10059
584100
6770
Z0012B
922.55
1,000
0.00
0.00
1,000.00
ENVIRONMENTAL HEALTH & SAFETY-TRAVEL EXPEN
D000
10059
586100
6770
Z0012B
100.00
2,000
0.00
0.00
2,000.00
ENVIRONMENTAL HEALTH & SAFETY-OTHER EXPENSE
D000
10059
589000
6770
Z0012B
3,067.50
1,000
0.00
0.00
1,000.00
ENVIRONMENTAL HEALTH & SAFETY - LOW VALUE ASSET EQUIP
D000
10059
642300
6770
Z0012B
0.00
10,100
0.00
0.00
10,100.00
GOLD CREEK - INSTR, NON-TEACHING
V000
10160
121100
6020
ZV044B
48,600.00
0
0.00
0.00
0.00
GOLD CREEK - INSTR, NON-TEACHING, HOUR
V000
10160
141500
6020
ZV044B
10,759.30
0
0.00
0.00
0.00
GOLD CREEK - DISTR EMP BENEFITS & INSU
V000
10160
392000
6020
ZV044B
6,127.67
0
0.00
0.00
0.00
DESCRIPTION
FUNCTION TOTAL
CURRENT
BUDGET
$1,054,088
FUNCTION TOTAL
$268,790
FUNCTION TOTAL
$240,464
FUNCTION TOTAL
$141,703
FUNCTION TOTAL
Thursday, April 17, 2014
YEAR END
EXPEND
$288,356
CURRENT
EXPEND
$1,017,185
$208,000
$327,507
$205,637
$382,476
CURRENT
COMMITMENT
$850,184
$208,000
$77,382
$106,793
$213,839
$228,600
$103,475
$69,221
$118,910
CURRENT
BALANCE
($61,599)
$146,650
$29,622
$49,726
Page 3 of 8
2013 - 14 CENTRALIZED ACCOUNTS
As of March 2014 Cyclical Closing
SAP ACCOUNT
2013 - 14
2012 - 13
BUS
AREA
FUND
GL
ACCNT
FCNTL
AREA
COST
CENTER
GOLD CREEK - SUPPLIES
V000
10160
452100
6020
ZV044B
394.60
0
0.00
0.00
0.00
GOLD CREEK - SUPPLIES FOR MAINT & REP
V000
10160
452300
6020
ZV044B
3,383.51
0
0.00
0.00
0.00
GOLD CREEK - RENT EQUIP, OTHER
V000
10160
565100
6020
ZV044B
149.43
0
0.00
0.00
0.00
GOLD CREEK - MILEAGE
V000
10160
584100
6020
ZV044B
1,008.26
0
0.00
0.00
0.00
GOLD CREEK - OTHER EXPENSE
V000
10160
589000
6020
ZV044B
108.02
0
0.00
0.00
0.00
$0
$0
$0
METRO RECORDS - OFFICE & CLERICAL REG
M000
10114
213100
6200
ZM045B
42,473.74
0
0.00
0.00
0.00
METRO RECORDS - DISTR EMP BENEFITS
M000
10114
392000
6200
ZM045B
27,173.63
0
0.00
0.00
0.00
METRO RECORDS - SUPPLIES
M000
10114
452100
6200
ZM045B
824.82
0
0.00
0.00
0.00
METRO RECORDS - PRINTING
M000
10114
453100
6200
ZM045B
184.21
0
0.00
0.00
0.00
METRO RECORDS - POSTAGE
M000
10114
552200
6200
ZM045B
60.80
0
0.00
0.00
0.00
SPEC PROJ - ACCREDITATION, INSTRUCTIONAL, NONTEACHING, REG
SPECIAL PROJECT-ACCREDITATION, INSTRUCTNL NONTEACHING HRLY
SPEC PROJ - COMPLIANCE OFFICERS, OFF/CLRK, REG.
D000
10059
121100
6400
Z0061B
16,490.40
D000
10059
141500
6400
Z0061B
27,588.79
20,000
D000
10059
213100
6600
Z0062B
202,375.44
205,500
SPEC PROJ - ACCREDITATION, EMP BEN
D000
10059
392000
6400
Z0061B
4,760.63
4,000
2,850.12
0.00
1,149.88
SPEC PROJ - COMPLIANCE OFFICERS, EMP BENEFITS
D000
10059
392000
6600
Z0062B
71,475.55
102,086
54,997.41
0.00
47,088.59
SPEC PROJ - COMPLIANCE OFFICERS, CNTRCT PRSNL SVCS
D000
10059
562100
6600
Z0062B
12,381.69
122,674
60,544.88
61,929.12
200.00
SPEC PROJ - EMSI, CONTRACT PRSNL SVCS
D000
10059
562100
6400
Z0063B
0.00
30,000
30,000.00
0.00
0.00
SPEC PROJ - ACCREDITATION, CONTRACT PRSNL SVCS
D000
10059
562100
6400
Z0061B
5,775.00
225
0.00
225.00
0.00
SPEC PROJ - CLASSIFIED APPL TRACKING UPGRADE, CON
PRSNL SVC
SPEC PROJ - ACCREDITATION, CONTRACT OTHER
D000
10059
562100
6400
Z0064B
0.00
120,000
26,500.00
0.00
93,500.00
D000
10059
569400
6400
Z0061B
0.00
6,000
0.00
0.00
6,000.00
SPEC PROJ - ACCREDITATION, TRAVEL EXP
D000
10059
586100
6400
Z0061B
2,470.28
2,500
1,137.10
424.75
938.15
SPEC PROJ - ACCREDITATION, OTHER EXPENSE
D000
10059
589000
6400
Z0061B
1,746.02
2,712
323.05
0.00
2,388.95
SPEC PROJ - ONLINE PEOPLE
D000
10100
562100
6010
ZD089A
0.00
73,460
29,689.61
41,033.70
2,736.69
SIS MODERNIZATION PROJ-ADM, REGULAR
D000
10059
122100
6780
Z0052B
105,046.88
160,800
123,914.07
SIS MODERNIZATION PROJ-ADM, REGULAR (CLASSIFIED)
D000
10059
212100
6780
Z0052B
0.00
223,956
SIS MODERNIZATION PROJ-OFF/CLERICAL, REGULAR
D000
10059
213100
6780
Z0052B
12,222.67
65,444
SIS MODERNIZATION PROJ-EMP BENEFITS
D000
10059
392000
6780
Z0052B
25,725.88
204,480
SIS MODERNIZATION PROJ-SUPPLIES
D000
10059
452100
6780
Z0052B
2,146.60
10,413
SIS MODERNIZATION PROJ-MAINTENANCE, EQUIPMENT
D000
10059
582400
6780
Z0052B
1,682.40
SIS MODERNIZATION PROJ - MILEAGE
D000
10059
584100
6780
Z0052B
16.85
DESCRIPTION
FUNCTION TOTAL
CURRENT
BUDGET
$70,531
FUNCTION TOTAL
$70,717
FUNCTION TOTAL
Thursday, April 17, 2014
YEAR END
EXPEND
$345,064
CURRENT
EXPEND
$0
$0
40,000
$729,157
CURRENT
COMMITMENT
$0
12,740.40
$0
CURRENT
BALANCE
$0
3,750.60
23,509.00
16,442.30
0.00
3,557.70
160,259.49
43,577.51
1,663.00
$395,484
$150,941
$182,732
35,547.93
1,338.00
70,545.78
0.00
153,410.22
49,077.71
18,824.74
-2,458.45
65,416.33
0.00
139,063.67
2,798.77
355.35
7,258.88
10,200
1,405.00
0.00
8,795.00
1,250
164.91
0.00
1,085.09
Page 4 of 8
2013 - 14 CENTRALIZED ACCOUNTS
As of March 2014 Cyclical Closing
SAP ACCOUNT
2013 - 14
2012 - 13
BUS
AREA
FUND
GL
ACCNT
FCNTL
AREA
COST
CENTER
SIS MODERNIZATION PROJ-TRAVEL EXP
D000
10059
586100
6780
Z0052B
0.00
26,000
13,601.25
2,550.00
9,848.75
SIS MODERNIZATION PROJ-LOW VALUE EQUIPMENT
D000
10059
642300
6780
Z0052B
2,829.64
69,432
54,469.75
8,152.16
6,810.09
SW BASEBALL FIELD-MAINT & OPERATION, REG
D000
10059
214100
6550
ZD057B
SOUTHWEST BASEBALL FIELD-MAINT/OPER O/T
D000
10059
234400
6550
ZD057B
360.20
SW BASEBALL FIELD-EMP BEN
D000
10059
392000
6550
ZD057B
25,141.36
DESCRIPTION
FUNCTION TOTAL
YEAR END
EXPEND
CURRENT
BUDGET
$149,671
46,598.40
FUNCTION TOTAL
$72,100
SUBTOTAL
$27,004,154
CURRENT
EXPEND
$771,975
46,598
CURRENT
COMMITMENT
$381,394
$65,430
CURRENT
BALANCE
$325,151
36,505.08
12,720.91
0
134.40
0.00
-134.40
24,641
18,527.08
0.00
6,113.92
$71,239
$27,864,601
$55,167
$19,728,828.60
$12,721
$980,213
-2,627.99
$3,352
$7,155,560
B. OPERATING BUDGETS WITH VARIABLE EXPENSES
COL BARGN - INSTRUCTIONAL, NON-TEACHING
C000
10059
121100
6730
ZC006B
27,865.64
0
0.00
0.00
0.00
COL BARGN - ADM REG
C000
10059
122100
6730
ZC006B
61,150.80
63,785
47,465.54
0.00
16,319.46
COL BARGN-INSTRUCTIONAL, FALL HRLY
C000
10059
131500
6730
ZC006B
24,920.05
16,740
16,756.20
0.00
-16.20
COL BARGN-INSTRUCTIONAL, SPRING HRLY
C000
10059
132500
6730
ZC006B
24,920.04
16,740
6,702.48
0.00
10,037.52
COL BARGN - TUITION REIMBURSEMENT
C000
10059
581100
6730
ZC006B
7,761.00
4,000
3,405.00
0.00
595.00
COL BARGN - TRAVEL EXPENSE
C000
10059
586100
6730
ZC006B
27,423.33
32,506
8,856.41
11,940.00
11,709.59
COL BARGN - INST-NON-TEACH REG
D000
10059
121100
6730
Z0006B
0.00
25,601
0.00
0.00
25,601.00
COL BARGN - INSTRUCTIONAL, NON-TEACHING HOURLY
D000
10059
141500
6730
Z0006B
3,850.20
2,500
54,912.48
0.00
-52,412.48
COL BARGN - INSTRUCTIONAL, NON-TEACHING EXTRA
ASSIGN
COL BARGN - CERTIFICATED, UNALLOCATED
D000
10059
141700
6730
Z0006B
0.00
2,500
0.00
0.00
2,500.00
D000
10059
190100
6730
Z0006B
0.00
240,136
0.00
0.00
240,136.00
COL BARGN - UNALLOCATED, CLASSIFIED
D000
10059
290100
6730
Z0006B
0.00
10,000
0.00
0.00
10,000.00
COL BARGN - EMP BENEFITS
D000
10059
392000
6730
Z0006B
98.18
1
5,135.76
0.00
-5,134.76
COL BARGN - ATTENDANCE INCENTIVE
D000
10059
395400
6730
Z0006B
0.00
20,000
0.00
0.00
20,000.00
COL BARGN - PRINTING
D000
10059
453100
6730
Z0006B
28,975.31
9,002
8,175.00
0.02
826.98
COL BARGN - CONTRACT PRSNL SVCS
D000
10059
562100
6730
Z0006B
0.00
93,001
0.00
0.00
93,001.00
COL BARGN - MAINTENANCE, EQUIPMENT
D000
10059
582400
6730
Z0006B
0.00
1
0.00
0.00
1.00
COL BARGN - MEMBERSHIP
D000
10059
583100
6730
Z0006B
2,600.00
3,500
3,250.00
100.00
150.00
COL BARGN - OTHER EXPENSE
D000
10059
589000
6730
Z0006B
0.00
6,000
1,486.52
0.00
4,513.48
COL BARGN - IN-SVC TRAINING, TUITION REIMBURSEMENT
E000
10059
581100
6730
ZE006B
0.00
12,057
6,153.00
0.00
5,904.00
COL BARGN - TRAVEL EXPENSE
E000
10059
586100
6730
ZE006B
38,109.63
36,675
22,542.12
13,517.66
615.22
COL BARGN - IN-SERVICE TUITION REIMB
H000
10059
581100
6730
ZH006B
0.00
4,774
0.00
0.00
4,774.00
COL BARGN - TRAVEL EXPENSE
H000
10059
586100
6730
ZH006B
6,127.71
12,242
2,579.51
5,149.12
4,513.37
COL BARGN - INSTRUCTIONAL HOURLY, FALL
M000
10059
131500
6730
ZM006B
9,889.56
0
0.00
0.00
0.00
COL BARGN - INSTRUCTIONAL HOURLY, SPRING
M000
10059
132500
6730
ZM006B
8,860.00
0
0.00
0.00
0.00
Thursday, April 17, 2014
Page 5 of 8
2013 - 14 CENTRALIZED ACCOUNTS
As of March 2014 Cyclical Closing
SAP ACCOUNT
2013 - 14
2012 - 13
BUS
AREA
FUND
GL
ACCNT
FCNTL
AREA
COST
CENTER
COL BARGN - OFFICE/CLERICAL, SUB/REL
M000
10059
233600
6730
ZM006B
27,326.00
0
0.00
0.00
0.00
COL BARGN - TRAVEL EXPENSE
M000
10059
586100
6730
ZM006B
10,186.10
14,610
4,778.99
2,742.92
7,088.09
COL BARGN - TUITION REIMBURSEMENT
P000
10059
581100
6730
ZP006B
9,944.25
17,309
2,440.00
0.00
14,869.00
COL BARGN - TRAVEL EXPENSE
P000
10059
586100
6730
ZP006B
19,448.92
17,476
11,829.93
5,420.32
225.75
COL BARGN - INSTRUCTIONAL, HRLY
S000
10059
131500
6730
ZS006B
27,244.00
0
0.00
0.00
0.00
COL BARGN - INSTRUCTIONAL, HRLY
S000
10059
132500
6730
ZS006B
27,244.00
0
0.00
0.00
0.00
COL BARGN - OFFICE/CLERICAL, SUB/REL
S000
10059
233600
6730
ZS006B
35,714.00
0
0.00
0.00
0.00
COL BARGN - TUITION REIMB, IN-SERVICE TRAINING
S000
10059
581100
6730
ZS006B
185.00
4,918
0.00
0.00
4,918.00
COL BARGN - TRAVEL EXPENSE
S000
10059
586100
6730
ZS006B
8,027.76
9,136
1,172.67
4,774.00
3,189.33
COL BARGN - INSTRUCTIONAL HOURLY, FALL
T000
10059
131500
6730
ZT006B
83,486.00
0
0.00
0.00
0.00
COL BARGN - OFF/CLERK, REGULAR
T000
10059
213100
6730
ZT006B
25,965.00
0
0.00
0.00
0.00
COL BARGN - SUPPLIES
T000
10059
452100
6730
ZT006B
-0.01
0
0.00
0.00
0.00
COL BARGN - TUITION REIMBURSEMENT
T000
10059
581100
6730
ZT006B
7,522.00
5,500
4,382.50
0.00
1,117.50
COL BARGN - TRAVEL EXPENSE
T000
10059
586100
6730
ZT006B
20,182.84
27,327
15,785.80
8,960.00
2,581.20
COL BARGN - INSTRUCTIONAL HOURLY, FALL
V000
10059
131500
6730
ZV006B
51,597.80
0
0.00
0.00
0.00
COL BARGN - INSTRUCTIONAL HOURLY, SPRING
V000
10059
132500
6730
ZV006B
52,020.20
0
0.00
0.00
0.00
COL BARGN - TUITION REIMBURSEMENT
V000
10059
581100
6730
ZV006B
12,309.00
12,550
12,549.75
0.00
0.25
COL BARGN - TRAVEL EXPENSE
V000
10059
586100
6730
ZV006B
22,700.79
21,568
18,904.21
2,250.14
413.65
COL BARGN - IN-SVS TRAIN TUITION REIMBURSEMENT
W000
10059
581100
6730
ZW006B
1,387.76
0
0.00
0.00
0.00
COL BARGN - TRAVEL EXPENSE
W000
10059
586100
6730
ZW006B
7,959.07
17,352
2,240.63
3,010.00
12,101.37
INSURANCE - ADM, REGULAR
D000
10059
212100
6770
Z0022B
0.00
0
INSURANCE-OFF/CLK (PROG ADM, SECRETAR
D000
10059
213100
6770
Z0022B
68,884.76
INSURANCE - DISTR EMP BEN & INS
D000
10059
392000
6770
Z0022B
32,686.29
INSURANCE-CLAIMS, SUPPLIES
D000
10059
452100
6770
Z0022B
INSURANCE - CLAIMS, INTERNATIONAL STUDENT HEALTH
INSURANCE
INSURANCE - CLAIMS CNTRCT PRSNL SVCS
D000
10059
544300
6770
D000
10059
562100
6770
INSURANCE - CLAIMS SETTLEMENT
D000
10059
574100
INSURANCE - NON-LITIGATED SETTLEMENTS
D000
10059
574200
INSURANCE - LIABILITY PROPERTY
D000
10100
INSURANCE - LIABILITY
D000
10100
INSURANCE-LIABILITY, FIDELITY
D000
INSURANCE-LIABILITY, INSURANCE PREMIUM
D000
DESCRIPTION
FUNCTION TOTAL
Thursday, April 17, 2014
YEAR END
EXPEND
CURRENT
BUDGET
$723,002
CURRENT
EXPEND
$759,507
CURRENT
COMMITMENT
$261,505
$57,864
CURRENT
BALANCE
$440,138
56,560.56
0.00
-56,560.56
71,027
139.17
38,567.68
32,320.15
27,663
25,536.38
0.00
2,126.62
0.00
500
492.23
0.00
7.77
Z0023B
1,872,803.00
2,003,504
889,821.00
1,100,912.00
12,771.00
Z0022B
326,763.56
416,895
221,061.37
108,333.30
87,500.33
6770
Z0022B
369,360.01
387,143
320,407.86
0.00
66,735.14
6770
Z0022B
541.20
0
0.00
0.00
0.00
541100
6770
Z0023A
632,238.09
712,431
622,800.57
0.00
89,630.43
542100
6770
Z0023A
1,823,538.42
3,422,340
2,156,442.86
943,302.75
322,594.39
10100
543100
6770
Z0023A
27,570.00
33,416
33,416.00
0.00
0.00
10100
546200
6770
Z0023A
0.00
3,226
0.00
3,226.00
0.00
Page 6 of 8
2013 - 14 CENTRALIZED ACCOUNTS
As of March 2014 Cyclical Closing
SAP ACCOUNT
DESCRIPTION
BUS
AREA
FUND
GL
ACCNT
2013 - 14
2012 - 13
FCNTL
AREA
COST
CENTER
FUNCTION TOTAL
YEAR END
EXPEND
CURRENT
BUDGET
$5,154,385
$7,078,145
$4,326,678
$2,194,342
452100
6600
Z0024B
LEGAL EXPENSE - PERSONAL CNTRCT SVCS
D000
10059
562100
6600
Z0024B
0.00
86
0.00
85.84
0.16
LEGAL COST OF LITIGATION
D000
10059
571100
6600
Z0024B
1,968,861.20
1,547,061
782,912.23
255,248.40
508,900.37
LEGAL SETTLEMENTS
D000
10059
574100
6600
Z0024B
1,588,121.54
1,907,674
24,768.12
2,672.81
1,880,233.07
WORKER'S COMPENSATION - REG ADMIN
D000
10009
212100
6730
Z0041B
80,041.44
80,042
61,831.98
18,210.02
0.00
WORKER'S COMP - MAINT & OPER, REGULAR
D000
10009
214100
6730
Z0041B
10,605.73
131,365
12,354.69
0.00
119,010.31
WORKER'S COMPENSATION-HEALTH BEN SAVI
D000
10009
360005
6730
Z0041B
5,454,895.27
4,604,602
3,384,345.08
0.00
1,220,256.92
WORKER'S COMPENSATION-DISTR BENEFITS
D000
10009
392000
6730
Z0041B
48,067.01
100,000
34,909.65
0.00
65,090.35
WORKER'S COMPENSATION-SUPPLIES
D000
10009
452100
6730
Z0041B
0.00
100,000
33.87
0.00
99,966.13
WORKER'S COMPENSATION-EXCESS WC INS
D000
10009
546100
6730
Z0041B
216,696.96
250,000
242,731.04
0.00
7,268.96
WORKER'S COMPENSATION - PERSNL SVC
D000
10009
562100
6730
Z0041B
571,296.00
615,607
443,089.00
152,863.50
19,654.50
WORKER'S COMPENSATION - MILEAGE
D000
10009
584100
6730
Z0041B
0.00
500
0.00
0.00
500.00
WORKER'S COMPENSATION - TRAVEL
D000
10009
586100
6730
Z0041B
57.21
2,000
98.00
0.00
1,902.00
WORKER'S COMPENSATION - OTHER EXP
D000
10009
589000
6730
Z0041B
125,767.09
123,915
123,914.27
0.00
0.73
WORKER'S COMPENSATION-LOW VALUE, EQUIPMENT
D000
10009
642300
6730
Z0041B
464.91
0
0.00
0.00
0.00
FUNCTION TOTAL
RESERVE FOR INSURANCE/LEGAL/WORKER'S COMPUNALLOCATED
D000
10059
790100
$6,507,892
6600
Z0098B
0.00
FUNCTION TOTAL
$0
SUBTOTAL
$15,941,489
$6,008,031
1,626,727
$1,626,727
$18,977,231
$808,302
$4,303,308
0.00
$0
$9,699,791.93
5.45
$557,125
10059
$3,504,821
621.50
CURRENT
BALANCE
D000
$3,556,210
50,000
CURRENT
COMMITMENT
LEGAL EXPENSE - SUPPLIES
FUNCTION TOTAL
-773.00
CURRENT
EXPEND
$258,013
$171,074
0.00
$0
$2,681,292
49,373.05
$2,438,507
$1,533,650
1,626,727.00
$1,626,727
$6,596,147
C. OTHER CENTRALIZED ACCOUNTS
BOARD ELECTION EXPENSE
D000
10059
DBC INITIATED FAC/STAFF TRANSFER
D000
10059
DBC-INITIATED FACULTY/STAFF TRANSFER,
D000
10059
DISTRICTWIDE BENEFITS
D000
GASB 34/35 - CONTRACT PERSONNAL SVCS
D000
PROJECT MATCH -INSTRUCTOR
D000
10059
PROJECT MATCH - UNCLASSIFIED, STUD ASST
D000
10059
572100
6600
Z0005B
125100
4900
Z0092B
99,279.18
0
392000
4900
Z0092B
10,361.05
0
0.00
6720
Z0046B
297,803.30
6770
Z0059B
111100
6730
Z0025B
0.00
11,000
0.00
0.00
11,000.00
239200
6730
Z0025B
49,000.00
80,000
49,000.00
0.00
31,000.00
FUNCTION TOTAL
$4,500,000
FUNCTION TOTAL
10059
392000
$109,640
FUNCTION TOTAL
10059
562100
$297,803
FUNCTION TOTAL
Thursday, April 17, 2014
4,500,000.00
5,055.50
$5,056
3,000,000
$3,000,000
$0
150,000
$150,000
78,501
$78,501
0.00
0.00
3,000,000.00
$0
$0
$3,000,000
0.00
0.00
0.00
0.00
0.00
$0
211,425.53
$211,426
$0
$0
0.00
-61,425.53
$0
($61,426)
13,655.59
58,433.99
$13,656
$58,434
6,411.42
$6,411
Page 7 of 8
2013 - 14 CENTRALIZED ACCOUNTS
As of March 2014 Cyclical Closing
SAP ACCOUNT
2013 - 14
2012 - 13
BUS
AREA
FUND
GL
ACCNT
FCNTL
AREA
COST
CENTER
PROJECT MATCH - UNCLASS
D000
10059
239300
6730
Z0025B
34,000.00
4,000
36,400.00
0.00
-32,400.00
PROJECT MATCH-DISTRIBUTED EMP BEN
D000
10059
392000
6730
Z0025B
2,461.33
0
3,179.14
0.00
-3,179.14
PROJECT MATCH - OTHER EXPENSE
D000
10059
589000
6730
Z0025B
0.00
13,000
0.00
0.00
13,000.00
TUITION REIMB-FACULTY-IN-SERVICE
D000
10059
581100
5900
Z0029B
0.00
162,500
0.00
0.00
162,500.00
TUITION REIMB - MANAGEMENT/CONFIDNTIA
D000
10059
581100
6730
Z0034B
15,130.00
27,873
3,742.60
24,128.63
1.77
TUITION REIMB - SUPERVISOR
D000
10059
581100
6530
Z0036B
7,623.13
37,662
6,715.34
30,945.86
0.80
TUITION REIMB - LOCAL 99
D000
10059
581100
6730
Z0031B
4,503.67
61,138
1,184.00
59,954.00
0.00
TUITION REIMB - ADMINISTRATORS TUITIO
D000
10059
581100
6730
Z0030B
10,694.56
10,058
2,000.00
8,057.50
0.50
TUITION REIMB - CRAFTS
D000
10059
581100
6730
Z0032B
2,191.78
26,081
1,740.00
24,341.00
0.00
TUITION REIMB - UNIT 1
D000
10059
581100
6730
Z0038B
120,152.09
182,776
53,750.16
109,024.63
20,001.21
TUITION REIMBURSEMENT - TRAVEL
D000
10059
586100
6730
Z0030B
7,317.80
10,000
2,013.92
7,732.30
253.78
TUITION REIMB-FACULTY-IN-SERVICE
E000
10059
581100
5900
ZE029B
10,558.00
0
0.00
0.00
0.00
TUITION REIMB-FACULTY-IN-SERVICE
M000
10059
581100
5900
ZM029B
2,186.00
0
0.00
0.00
0.00
VACATION BALANCE
D000
10100
392000
6730
Z0039A
12,635.39
0
7,914.76
0.00
-7,914.76
VACATION BALANCE
D000
10100
395100
6730
Z0039A
821,242.91
750,000
716,973.92
0.00
33,026.08
$724,889
$0
$25,111
DESCRIPTION
FUNCTION TOTAL
TOTAL
Thursday, April 17, 2014
CURRENT
BUDGET
$85,461
FUNCTION TOTAL
GRAND
YEAR END
EXPEND
$180,357
CURRENT
EXPEND
$108,000
$518,088
CURRENT
COMMITMENT
$88,579
$71,146
$0
$264,184
CURRENT
BALANCE
$19,421
$182,758
FUNCTION TOTAL
$833,878
SUBTOTAL
$6,012,196
$4,604,589
$1,109,694.96
$322,618
$3,172,276
$48,957,838
$51,446,421
$30,538,315
$3,984,123
$16,923,983
$750,000
Page 8 of 8
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