Flow Chart of Financial Monitoring & Planning in WebSAMS version...

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Flow Chart of Financial Monitoring & Planning in WebSAMS version 2.0
Financial Monitoring & Planning (FMP)
School Management
Common Setup
 School Level
and Session to be
retrieved from
School Management
Module
Budgeting
 Subject to
Common Setup
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School Accounting Information
Accounting Year Maintenance
Chart of Account Maintenance
Voucher Type Maintenance
Location Maintenance
Report
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ED Grant
Draft Budget (Income and Expenditure)
Review Budget
Approve / Reverse Budget
Revise Budget (Income and Expenditure)
Enquiry
Report
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Maintain payment, receipt, petty cash and journal
vouchers
Cheque Printing
Voucher Posting
Perform month end
Perform year end
Bank Reconciliation
Report
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Setup
Maintain Staff Master
Prepare Payroll and Provident Fund Contributions
Maintain Provident Fund Register
Generate Employers’ Tax Return
Enquiry
Report
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Setup
Maintain Capital Asset Register
Maintain Depreciation
Enquiry
Report
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Setup
Maintain stock purchase & sales
Maintain stock in and stock out details
Perform year end
Enquiry
Report
Bookkeeping
 Subject to
Common Setup
Staff & Staff
Deployment
Modules
Staff Cost
 Subject to
Common Setup
Capital Asset
Register
 Subject to
Common Setup
Sales & Stock
 Subject to
Common Setup
Flow Chart of Financial Monitoring & Planning in WebSAMS version 2.0
Daily
Collection
Summary
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Maintain Daily Collection Summary
Report
 Subject to
Common Setup
Non-recurr
ent Grant
Register
 Subject to
Common Setup
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Maintain Register for Building
Maintain Register for Furniture & Equipment
Report
Flow Chart of Financial Monitoring & Planning in WebSAMS version 2.0
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School Accounting Information
o
Define the sub-module(s) to be used and the effective date
o
Select budget check option if both budgeting and bookkeeping sub-modules are selected
Accounting Year Maintenance
o
Create a new accounting year whenever necessary
o
Re-open of a closed accounting month is allowed
Chart of Account Maintenance
o
Maintain new sources of fund, ledger codes, sub-ledger codes and account codes
o
Maintain new programme codes for each new accounting year. Copying by year or by session is allowed
o
Maintain bank information including cheque format and bank autopay format
Voucher Type Maintenance
o
Define voucher type to be used and select use of auto-generation of voucher number
Location Maintenance
o
Location details is used in Capital Asset Register and Sales & Stock sub-modules to record the location of assets and
stock
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Input grant amount allocated by Education Bureau. In preparing the budget income, the budget amount will check against the
grant amount
Budget income is prepared at account code level. It can be created by preparing a new budget or by copying from current
year’s draft budget or from previous year’s actual amount or revised budget of one school session to another session
Budget expenditure is prepared at programme and account code level. This can be created either by preparing a new budget
or by copying from current year’s draft budget or from previous year’s actual amount or revised budget of one school session to
another session
Generate budget information for preparing School Plan
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Maintain payment, receipt, petty cash and journal vouchers. Copying from existing vouchers is allowed.
Can select auto-generation of voucher numbers. Can print vouchers of different status, viz draft, unposted and posted
If budgeting module is used, activate budget check when a voucher is saved
Can select vouchers for posting
Can print cheque on ten pre-defined cheque formats. Cheque printing is made on manual cheque provided by the bank
Allow to re-open a closed accounting month
Before proceeding to Year End Process, perform Pre Year End Process to generate reports for checking.
Capture audit adjustments separately in adjustment month
Perform Bank Reconciliation
Generate Annual Accounts
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Set up staff master either by retrieving basic staff information from Staff and Staff Deployment Modules or by input in FMP
Can prepare monthly payroll with different payment method
Can generate three pre-defined format bank autopay files
Maintain Provident Fund Register
Generate hardcopy and softcopy of Employer’s Tax Return (IR56B) to IRD
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Setup is used to define asset category, asset master and analysis code if necessary
Can record purchase of new assets, write-off assets and asset quantity on hand
Record location details and responsible officer of assets
Transfer of asset from one location to another or from one responsible officer to another is allowed
Maintain Depreciation Summary
Provide worksheet with breakdown by location or responsible officer for stocktaking
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Setup is used to define stock category, stock master, analysis code if necessary and costing method of stock
Maintain details for purchase and sales of stock and stock balance
Profit / loss on stock sales is calculated when pre year process is performed
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Flow Chart of Financial Monitoring & Planning in WebSAMS version 2.0
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Maintain cash receipts and bank-in details
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Maintain Non-recurrent Grant Register for buildings and furniture & equipment
Flow Chart of Financial Monitoring & Planning in WebSAMS version 2.0
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Common Setup
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Accounting period, for example, from September to August or from April to March should be defined for
first time user. Once it is confirmed, it cannot be changed.
Select Budget check option for income and expenditure items. Different option may be adopted for
income and expenditure items
All sub-modules are integrated but allow to set sub-module(s) effective at different time
Programme will be created for each new accounting year. An administrative programme with programme
code “WFMP” is generated by the system when a new accounting year is created
EDB-defined account codes are created and maintained by EDB whilst school defined account codes can
be created by schools. Surplus / deficit account codes is 11-byte while the other account codes is 5-byte.
The first byte of all account codes indicates the source of fund e.g. ‘G’ represents Government Fund. A
set of EDB-defined and school commonly used codes is preloaded in the system.
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Budgeting
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Allow to prepare budget for different sources of fund, for example, Government Fund or School Fund
Allow to prepare budget for more than one accounting year, a five year forecast is allowed
Reversal of an approved budget is allowed if there is no bookkeeping or revised budget transaction
Expenditure budget is prepared at programme and account code level
Provide budget information to prepare School Plan
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Bookkeeping
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The same set of income and expenditure account code is used for both Budgeting and Bookkeeping
sub-modules. Budget and actual amount will be charged to the same account code
Activate budget check whenever a voucher is saved if Budgeting sub-module is used
Separate function for processing petty cash voucher is allowed
Voucher posting is a separate function. This can be performed by authorised person only
Generate and print payment, receipt, petty cash and journal vouchers of different voucher status
Allow to re-open a closed accounting month more than one time but a maximum of three accounting
months can be opened for each accounting year at the same time. Re-open a closed accounting month is
performed under the “Accounting Year Maintenance” of Common Setup sub-module
Generate Pre Year End reports for checking before proceeding to process Year End. If Final Year End
process for a selected accounting year is confirmed, the accounting year cannot be re-opened.
Allow to start a new accounting year without closing the previous accounting year
Can generate Annual Accounts
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Staff Cost
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Basic staff information can be retrieved from Staff and Staff Deployment sub-modules or by input in FMP.
Can prepare monthly payroll for different payment methods e.g. by bank autopay or by cheque
Maintain Provident Fund Register for Grant/Subsidized Schools Provident Scheme, ORSO Scheme and
Mandatory Provident Fund Scheme
Can generate softcopy of Employer’s Tax Return (IR 56B) for submission to IRD
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