2014 calendar year-end closing procedures. overview calendar year-end closing review tr1099...

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2014 CALENDAR 2014 CALENDAR YEAR-END CLOSING PROCEDURES YEAR-END CLOSING PROCEDURES

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2014 CALENDAR 2014 CALENDAR

YEAR-END CLOSING YEAR-END CLOSING PROCEDURESPROCEDURES

OVERVIEW

CALENDAR YEAR-END CLOSING REVIEW

TR1099CREATING/SUBMITTING TEST AND

FINAL SUBMISSION FILE

DECEMBER RELEASE 2

USAS

CALENDAR YEAR END CLOSING REVIEW

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VENSSN – VERIFY 1099 DATA

• CHECK DATA FOR 1099 VENDORS• VENSSN OPTION 4 OR 6

• REVIEW CAREFULLY!

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VENSSN - VERIFY 1099 VENDORS

• CHECK THAT ALL VENDORS THAT SHOULD BE ARE FLAGGED

• VENSSN OPTION 5

• REVIEW LIST FOR ANY VENDORS THAT SHOULD GET 1099

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VENDOR NAMES

• IF THE VENDOR USES A DIFFERENT NAME FOR 1099 REPORTING, THE DISTRICT MAY ENTER THE 1099 REPORTABLE NAME ON THE “2ND NAME” FIELD.

• ENTER THE DIGITS 1099: FOLLOWED BY THE IRS-1099 NAME.

• THE F1099 PROGRAM WILL STRIP OFF THE “1099:” AND USE THE NAME FOLLOWING IT AS THE PRIMARY NAME ON THE 1099 REPORTING FORM AND SUBMISSION FILE

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To display the individual’s name on the 1099 but keep the business name as the first name on the PO, you can enter 1099:individual’s name on the 2nd name field of the vendor record.

1099 will display:

KARA JONES123 MAIN STREETSAMPLEVILLE, OH 55555

MONTH-END CLOSING

PROCEED WITH CLOSING OUT FOR THE MONTH OF DECEMBER AS NORMALENTER ALL TRANSACTIONS FOR THE CURRENT MONTHPERFORM BANK RECONCILIATION PROCEDURES FROM THE USAS

USER GUIDE “USAS USEFUL PROCEDURES” CHAPTEREXAMINE RECOMMENDED REPORTS TO ENSURE YOU ARE IN

BALANCEUSAEMSEDT – CASH RECONCILIATION – OPTION 1PODETLBALCHK

MTD, FTD, YTD EXPENDED AMOUNTS ARE IDENTICAL MTD, FTD, YTD RECEIVED AMOUNTS ARE IDENTICAL OUTSTANDING ENCUMBERED AMOUNT AGREES WITH OUTSTANDING PODETL

ENCUMBERED AMOUNT. IF THEY DON’T, RUN FIXENC.RUN FINSUMM SELECTING “Y” TO GENERATE FINDET AT THE SAME

TIME. THE CURRENT FUND BALANCES SHOULD BE IDENTICAL ON EACH REPORT.

RUN SM2CALC OPTION (IF TRACKING SM12 FIGURES). PRINT OFF AND CHECK THE RESULTING REPORT. 9

MONTH-END CLOSING

RUN MONTHLYCD/GENERATE DECEMBER’S REPORTS

MINIMUM MONTH-END REPORTS RECOMMENDED:BUDSUM, APPSUM, REVSUMDETAILED PODETL – ALL FUNDSFINDET & FINSUMMRECLEDDETAILED CHEKPYCASH RECONCILIATION FROM OPTION 1 OF USAEMSEDT

GENERATE ANY ADDITIONAL CALENDAR YEAR-END REPORTS DESIRED

CREATE A COPY OF THE FILES

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VENHIRE/VHRESET

• RUN VENHIRE/VHRESET• RESETS ALL VENDORS FLAGGED AS “REPORTED” TO

“REPORTABLE”

• VENDOR WILL BE REPORTED AGAIN THE NEXT YEAR IF THEY ARE PAID AT LEAST $2,500.

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MONTH-END ADJUST

• RUN ADJUST AND SELECT “MONTH-END”• YOU MUST NOT BE RUNNING ANY OTHER PROGRAMS DURING

THIS PROCESS.

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CALENDAR YEAR-END CLOSING

• RUN THE PROGRAM F1099 WHICH CREATES 1099S FOR THE CURRENT CALENDAR YEAR

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2014

CALENDAR YEAR-END CLOSING

UPON COMPLETION, THE F1099 GENERATES THE FOLLOWING: F1099.TXT – REPORT OF 1099 VENDORS SORTED BY MISCELLANEOUS INCOME

TYPE F1099.DAT – FILE CONTAINING THE 1099 DATA THAT IS TO BE USED WITH

LASER-GENERATED FORMS F1099.FRM – FILE CONTAINING VENDOR 1099 INFORMATION TO BE PRINTED

ON BLANK PIN-FED 1099 FORMS F1099.TAP – TAPE FILE CONTAINING THE VENDOR 1099 INFORMATION TO BE

SENT TO THE IRS

PRINT AND CHECK F1099.TXT REPORT CAREFULLYNOTIFY ITC THAT FORMS ARE READY TO BE PRINTED AND DATA

SUBMITTED TO IRS

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CALENDAR YEAR-END CLOSING

• RUN ADJUST AGAIN FROM YOUR NORMAL ACCOUNT

• SELECT “YEAR-END” AND RUN FOR “CALENDAR”• YOU MUST NOT BE RUNNING ANY OTHER PROGRAMS FROM YOUR

NORMAL ACCOUNT DURING THIS PROCESS

• MAY BEGIN PROCESSING FOR JANUARY

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NWOCA 1099 PROCEDURES

• AFTER NWOCA RECEIVES EMAIL THAT THE DISTRICT HAS COMPLETED THE F1099 PROGRAM, WE CHECK TO SEE THAT THE F1099 FILES WERE CREATED PROPERLY DURING THE DISTRICT’S F1099 RUN.

• WE RENAME THE FILES TO A DIFFERENT EXTENSION IN ORDER TO SAVE THEM FOR LATER USE.

• WE TAKE THE F1099.DAT FILE AND USE IT WITH THE EDGE SOFTWARE TO GENERATE 1099 FORMS TO PRINT ON SELF-SEALING 1099-MISC LASER FORMS.

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NWOCA 1099 PROCEDURES

• AFTER THE 1099S ARE PRINTED AND THE DISTRICT COPY OF THE 1099 IS MADE, WE RUN THE 1099S THROUGH AN ENVELOPE SEALER TO SEAL THE 1099S.

• EACH DISTRICT WILL RECEIVE THE FOLLOWING:

• COPIES OF EACH 1099 (VENDOR COPY AND DISTRICT COPY)

• THE F1099.TXT REPORT

• INSTRUCTIONS ON HOW TO DISTRIBUTE THE 1099S

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TR1099 PROGRAM

CREATING AND TRANSMITTING THE 1099 DATA TO IRS

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1099 REPORTING REQUIREMENTS

250 OR MORE 1099-MISC FORMS MUST BE REPORTED ON MAGNETIC MEDIA OR ELECTRONICALLY

FIRST TIME TRANSMITTERS MUST SEND IN 4419 FORM BEFORE SUBMITTING 1099’S ON MAGNETIC MEDIA OR ELECTRONICALLY

TRANSMITTER CONTROL CODE WILL BE ASSIGNED BY IRS

A TEST FILE IS REQUIRED BEFORE 1ST SUBMISSION UNDER THE COMBINED FEDERAL/STATE REPORTING PROGRAM

HIGHLY RECOMMENDED BUT NOT REQUIRED IN FUTURE YEARS

THE IRS FORM 1096 TRANSMITTAL FORM IS NOT REQUIRED FOR MAGNETIC/ELECTRONIC REPORTING

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CREATING THE TEST FILE• MUST CREATE TEST FILE TO GET APPROVAL FOR COMBINED

FEDERAL/STATE FILING PROGRAM

• (RECOMMENDED BUT NOT MANDATORY IF YOU SUBMITTED A TEST FILE FOR THIS LAST YEAR)

• FOLLOW THE NORMAL TR1099 AND SUBMISSION INSTRUCTIONS EXCEPT:

• MAY INCLUDE ONE OR MORE DISTRICT F1099 FILES

• MUST BE AT LEAST 11 VENDORS (“B” RECORDS) PER DISTRICT

• IN TR1099, MUST ENTER “TEST” FOR TYPE OF FILE

• SUBMIT VIA FIRE SYSTEM

• WILL RECEIVE AN APPROVAL LETTER FROM IRS – MUST RECEIVE THIS APPROVAL BEFORE SUBMITTING ACTUAL FILE WITH STATE RECORDS

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CREATING THE TRANSMITTAL FILE

• REFER TO TR1099 CHAPTER IN USAS SYSTEM MANAGER MANUAL

• APPEND DISTRICT FILES INTO A SINGLE FILE

• VARIOUS FORMATS OF THE APPEND COMMAND MAY BE USEFUL FOR THIS, ONE EXAMPLE IS:

APPEND DISK1:[*]F1099.TAP,DISK2:[*]F1099.TAP F1099.XXX/NEW

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CREATING THE TRANSMITTAL FILE

• RUN TR1099 PROGRAM TO ADD “T” (TRANSMITTER) AND “F” (FINAL) RECORDS TO FILE.

YOU WILL NEED TO ENTER:APPENDED FILE NAME (I.E. F1099.XXX)OUTPUT FILE NAMETRANSMITTER’S TAXPAYER IDENTIFICATION NUMBER (TIN)TRANSMITTER NAMECOMPANY NAME AND ADDRESS FOR CORRESPONDENCECONTACT PERSON NAME, PHONE #, EMAIL ADDRESS FOR PROBLEMS WITH FILE OR TRANSMISSIONTYPE OF FILE

ORIGINAL / REPLACEMENT / CORRECTION / TESTTRANSMITTER CONTROL CODE RECEIVED FROM IRSAPPROVED FOR THE COMBINED FEDERAL/STATE FILING PROGRAM (Y/N)?PRIOR YEAR? - ENTER P IF PRIOR YEAR DATA ONLY!!!

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TR1099

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Sara Glore419-267-2547

[email protected]

TR1099 PROGRAM OUTPUT

• TR1099.TXT • SUMMARY REPORT• RECOMMEND KEEPING ON FILE AT YOUR SITE

• OUTPUT FILE TO SUBMIT

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COMPLETING THE TRANSMITTAL

3. PRINT AND CHECK TR1099.TXT

4. SUBMIT FILE ELECTRONICALLY USE INSTRUCTIONS FOUND IN PART B OF IRS PUBLICATION

1220 FOR ELECTRONIC FILING OF 1099 FORMS USING THEIR FIRE SYSTEM

HTTP://FIRE.IRS.GOV CONNECTS YOU TO FIRE SYSTEM WHICH IS WHERE YOU WILL UPLOAD YOUR OUTPUT FILE (CREATED FROM TR1099) FROM YOUR PC TO THEIR WEBSITE

5. BE SURE TO KEEP A COPY OF THE TRANSMITTAL FILE AND REPORT FOR YOUR RECORDS

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DECEMBER RELEASE

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DECEMBER RELEASE

• EIGHT ISSUES CURRENTLY SCHEDULED FOR DECEMBER IN JIRA (AS OF 11/05/14)

• ADD WARNINGS TO VALACT

• IMPLEMENTED OPU WARNINGS BASED ON EXPENDITURE CHAPTER OF ODE EMIS MANUAL

• REMOVE OLD FUNDS FROM USAS.IDX FILE

• 494, 504, 532

• F1099

• CHANGE FIELD SIZE FOR VENDOR ADDRESS TO ALLOW UP TO 40 CHARACTERS (WAS 33 LIMIT DUE TO 10CPI ON LINE PRINTER FORMS)

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DECEMBER RELEASE

• FINDET CASH ACCOUNT MAX INCREASED

• WAS 2500 NOW 5000

• ADD NEW FIELD TO REQ AND PO HEADER EXPORT TO INDICATE A MULTI-VENDOR PO; FOR USE IN THE USAS-R IMPORT PROCESS

• CORRECT FNDREVEX• WHEN FND/SCC IS CARRIED OVER TO SECOND PAGE ITS

PRINTING THE NEXT FND/SCC & DESCRIPTION AT THE TOP OF SECOND PAGE

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QUESTIONS?