Title: Monthly Financial Review
1Monthly Financial Review
- Office of the Controller
- Yale University
2Agenda
- Internal controls
- Objectives of monthly review
- An overview of the process
- Advantages of using the review tool
- Distribution of reports
3Internal ControlsDepartment Environment
- Internal controls are integral to a departments
daily operations protect the University from
various risks - Controls are either preventive or detective
4Internal ControlsBusiness Manager Role
- Understands financial goals of the department
- Recognizes and manages risk of financial loss
- Understands and applies University policies and
procedures - Performs regular monitoring and review activities
5Internal ControlsInstitutional Assumptions
- Business managers have a fiduciary responsibility
to the University, its sponsors and donors for
the funds provided to the department - Managers can delegate authority but not overall
responsibility
6Internal ControlsResources
- University Auditing
- www.yale.edu/auditing
- Internal control self assessment procedure
- www.yale.edu/ppdev
- Procedure 1101PR.01
- Internal controls and transaction processing best
practices - www.yale.edu/mfr
7Monthly Financial ReviewObjectives
- Validate internal controls
- Ensure that financial information accurately
reflects the organizations activity - Identify exceptions
- Identify balance deficits
8Monthly Financial ReviewObjectives
- Identify possible inaccuracies through the
comparison of actuals to budget guidelines - Provide a quality assurance check prior to the
distribution of statements to account owners
9Monthly Financial ReviewProcess
4
Produce, Review Distribute Account Holder
Reports
1
2
3
Run the Review Tool
Run the Position Plan Report
Run the Summary of Activity by Source Group
5
Review Sign Monthly Financial Review Checklist
10Monthly Financial ReviewReview Tool
- The Review Tool contains the reports necessary to
complete exception monitoring - The Review Tool was designed to accompany the
monthly financial review checklist but is not
required to complete review
Run the Review Tool
11Monthly Financial ReviewReview Tool
- The Review Tool is available in the data
warehouse portal in the financial reports area - Best practice is to schedule the review tool to
run as a month end event and use the tool for
checklist completion
Run the Review Tool
12Monthly Financial ReviewReview Tool
- AP holds, labor suspense AP bounces
- Assets liabilities
- Fund balances
- Grant balances
- Casual labor charges
- Transaction detail
Run the Review Tool
With strong internal controls in place within the
department, best practice is to monitor
exceptions.
13Monthly Financial ReviewStandard Reports
- Position Plan Report
- Compare actuals to MP0 or Department Plan
- Run with commitments at level appropriate for
department - Summary of Activity
- Review revenue, expenses and change in fund
balances - Does activity match your expectations?
Run the Position Plan Report
Run the Summary of Activity by Source Group
14Monthly Financial ReviewDistribute Reports
- Non Grants
- Position Plan
- Current Month Detail
- Grants
- Account Holder Report for Grants
Produce, Review Distribute Account Holder
Reports
Note Account holder report distribution will
change in Fall of 2006. The Account Holder Report
will be standard practice for all funds.
15Monthly Financial ReviewChecklist
Review Sign Monthly Financial Review Checklist
- Signature required monthly
- States that review has been completed and
exceptions are noted - Use the review tool
- Alternate approaches are ok but must be noted on
the checklist - Maintain checklist on file
- Internal and external audit may request a copy
16Monthly Financial ReviewResources
- Financial controls and monthly review procedure
- www.yale.edu/mfr
- Procedure 1310 PR.1
- Monthly financial review checklist
- www.yale.edu/mfr
- ga.usersupport_at_yale.edu
- General financial assistance
- Alternate review approaches
17Summary
- Strong internal controls minimize risk of
financial loss and reduce the need to tick and
tie every transaction - The review tool assists with monthly financial
review and checklist completion - Reports for account holders are generated monthly
and include a summary and detail of the account(s)