Creating a Manual Accrual Reversal Entry Step-by-Step
After signing on:
| 1. | Type .BC in the ACTION field on any screen and press ENTER to access the Budgetary Control Menu (001) screen. (You must type the period.) |
| 2. | Type 2 in the NEXT FUNCTION field and press ENTER to access the Budgetary Control Document Entry Menu (200) screen. |
| 3. | Type 1 in the NEXT FUNCTION field and press ENTER to access the Journal Voucher Entry (211) screen. |
| 4. | Type A in the OPTION field to add a journal voucher document |
| 5. | Type your document ID in the DOCUMENT ID field using 32 (thirteenth month reversal) as the transaction type. |
| 6. | Type your initials or an agency specific identifier in the APPLICATION AREA field and press ENTER to access the Journal Voucher Entry (212) screen. |
| 7. | Type 6/30/XX in the EFFECTIVE DATE field. |
| 8. | Type the total amount in the TOTAL field. |
| 9. | Type your company number in the COMPANY ID field. |
| 10. | Type 2 in the DATA TYPE CODE field for a balanced transaction entry. |
| 11. | Type 2 in the LEVEL OF FUNDS CHK field. |
| 12. | Type 2 in the UPDATE AFF field. |
| 13. | Press ENTER to access the Journal Voucher Entry (213) screen and enter the detail lines of the document. |
| 14. | Type 0001 in the LINE field. |
| 15. | Type A in the TRANSACTION CODE field to add a new line. |
| 16. | Type the account number for the accrual reversing balance in the COMP/ACCT/CNTR field. |
| 17. | TAB to the CNTR part of the COMP/ACCT/CNTR field and type your center number |
| 18. | Type the amount being debited or credited in the DEBIT/CREDIT AMOUNT field. |
| 19. | To credit an account, type CR (or 60) in the DEBIT/CREDIT CODE field. To debit an account, type DR (or 10) in the DEBIT/CREDIT CODE field. |
| 20. | Type "Manual Reversal" in the DESCRIPTION field. Make sure this description is left-justified. |
| 21. | Press ENTER. The system is now ready to accept the next line of your transaction. |
| 22. | Type 0002 in the LINE field. |
| 23. | Repeat steps 15-21 until all lines of the transaction are complete. |
| 24. | When the last line has been entered, TAB to the OPTIONS field, type END or E and press ENTER. |