This guide provides a complete checklist of steps and best practices to help departments plan and execute a Financial Unit reorganization. Following this process will ensure accurate financial reporting, correct routing and approval structures, and a smooth transition from the old FinU to the new.
Use this guide when any of the following apply:
This checklist can also be used for planning, project coordination, and monitoring progress throughout the transition.
Financial Unit Reorganization Checklist
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Step 1: Request & Set Up New Financial Unit Purpose: Establish the new FinU and ensure proper approvals | ||
| a) Obtain department approval |
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| b) Coordinate with the Budget Office |
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| c) Submit request to Internal Controls & Accounting (ICA) |
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Step 2: Set Up Approvers & Routing Purpose: Ensure approval hierarchies and routing are correctly aligned with the new FinU | ||
| a) Add new FinU approvers | Add Department Head, Financial Unit Approvers, and other required roles. | |
| b) Remove approvers from the old FinU |
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| c) Confirm approval hierarchies | Validate routing using the Role Request Approver Lookup Tool. | |
| d) Set up Travel & Entertainment, CAMS, and Cost Transfer approvers | Use the Oracle and Concur Roles Request Form to assign approvers. | |
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Step 3: Create New Projects Purpose: Ensure project setup aligns with the new FinU | ||
| a) Create projects in PADUA |
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| b) Define project cutoff dates |
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| c) Coordinate sponsored project updates | Work with Sponsored Projects Finance (SPF) to ensure awards, billing, and invoicing reflect the new FinU. | |
| d) Coordinate recharge activity | Notify Costing Policy & Analysis (CP&A) and share new FinU information. | |
| e) Communicate changes to staff | Notify PIs, labs, fund managers, and staff of the new chart strings and projects effective date. | |
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Step 4: UCPath Setup & Funding Updates Purpose: Ensure UCPath is aligned with the new FinU structure | ||
| a) Confirm UCPath approval routing |
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| b) Update employee and student funding |
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| c) Perform cleanup as needed | Complete Salary Cost Transfers (SCTs). | |
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Step 5: Redirect Non-Payroll Expenses Purpose: Transition budget, PO, and expense activity to the new FinU | ||
| a) Redirect recurring charges and recharges |
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| b) Review and update open commitments | Follow KB0032091 How to Update Financial Elements on General Projects. | |
| c) Correct chart strings and approvals | Revenue corrections (ASSA/DI follow revenue). | |
| d) Review POs, reimbursements, and entertainment approvals | Submit change orders for open POs as needed. | |
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Step 6: Budget Coordination (CBO) Purpose: Reflect new FinU structure in budget systems | ||
| a) Transfer core recurring budgets |
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| b) Update recharge budgets | Coordinate with Recharge Operations. | |
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Step 7: Update External Billing & Revenue Purpose: Align external billing with the new FinU | ||
| a) Update billing and Revenue |
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| b) Perform current-year PPM Cost Transfers |
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Step 8: Close Out General Projects (Old FinU) Purpose: Properly close and reconcile general projects associated with the old FinU | ||
| a) Clear commitments | Follow KB0033424 How to Lift PO Commitments in OFC. | |
| b) Reconcile balances in OFC |
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| c) Close projects in PADUA | Follow KB0034079 Best Practices for Closing General Projects once all variances are cleared. | |
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Step 9: Closeout Sponsored Projects Purpose: Reconcile SPF and GL transactions and ensure sponsored projects are fully closed | ||
| a) Perform SPF and GL reconciliations |
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| b) Reconcile payroll |
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Step 10: Process Resource Journal Purpose: Move remaining balances from the old FinU to the new FinU | ||
| a) Move remaining balances | Transfer balances using guidance from KB0034341 on creating journals. | |
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Step 11: Close the Old Financial Unit Purpose: Officially retire the old FinU and complete closure process | ||
| a) Submit closure request |
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Supplemental Guides & Information