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Fully Funded Workshops Forrest Centre, Marston Tuesday 1 st March 8.30am – 12.30pm Tuesday 15 th March 1-5pm Tuesday 22 nd March 8.30am – 12.30pm

Fully Funded Workshops Forrest Centre, Marston

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Fully Funded Workshops Forrest Centre, Marston. Tuesday 1 st March 8.30am – 12.30pm Tuesday 15 th March 1-5pm Tuesday 22 nd March 8.30am – 12.30pm. Agenda. Introductions Fully Funded Scheme and returns 2010-11 year end arrangements - PowerPoint PPT Presentation

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Page 1: Fully Funded Workshops Forrest Centre, Marston

Fully Funded Workshops

Forrest Centre, Marston

Tuesday 1st March 8.30am – 12.30pmTuesday 15th March 1-5pm

Tuesday 22nd March 8.30am – 12.30pm

Page 2: Fully Funded Workshops Forrest Centre, Marston

Agenda• Introductions• Fully Funded Scheme and returns • 2010-11 year end arrangements

Closure of Imprest & petty cash accounts – Gill Clarke• 2011-12 arrangements

Reconciliations Bank Account Advances – Gezim Leka

• VAT – Parmjit Teji & Connie Bentley• RM – Ann Mathers• SIMS• Payroll & HR- Karen Damiano• Audit – Roger Willoughby• Questions & Answers

Page 3: Fully Funded Workshops Forrest Centre, Marston

• Working Group set up with LA officers from Payroll / HR / Finance / Audit / VAT

Exchequer Services / Income / Treasury • Folder contains all handouts / slides / and

guidance from workshop

• Further copies available on the Learning Portal

Page 4: Fully Funded Workshops Forrest Centre, Marston

Useful Contact Numbers

• Audit – Roger Willoughby 0300 300 6235• Cashiers – Shelia Garner 0300 300 4332• Exchequer -Central Payments Team 0300 300 8156• VAT – Connie Bentley 0300 300 4554• Bank Accounts – Parmjit Teji 0300 300 4081• Monthly Advances - Gezim Leka 0300 300 6162• Bursary Service - Ann Mathers 0300 300 6008• Payroll Reports - Karen Damiano 0300 300 6141• RM Helpdesk 0300 300 5777• Natwest – Corporate Service Team 0845 308 8969• Capita – Michelle Armstrong 0788 1515 366

Page 5: Fully Funded Workshops Forrest Centre, Marston

Tasks no longer needing to be done

• No More Reconciliation between SAP and local system

• No more queries to SFA’s• No more requests for re-codes with copies of

back up• No more IDI’s or transactions appearing on

budget without schools prior knowledge• No more requests for correction of salary coding• No further admin charge for Centrally Funded

Schools

Page 6: Fully Funded Workshops Forrest Centre, Marston

FF Scheme – Annual Timetable

• By 15th of following month I&E of income & expenditure for previous month• System print as back-up to I&E figures• Updated Cashflow• By 10th of July / October / January / April

Salaries & Wages return• Year end requirements• All new fully funded schools will be monthly

reporting in first year then possibility of going quarterly in second year.

Page 7: Fully Funded Workshops Forrest Centre, Marston

FF Scheme – Budget Plan & documents

Returns for 31st May • 2 year budget plan (can use budget plan

template / I&E template or CFR report from FPS). Contingencies = net assets/Public funds amount on balance sheet

• Salary back-up• Projected cashflow with bank balance agreeing

to that on balance sheet• Projected balance sheet• LD application & Recovery plan if needed

Page 8: Fully Funded Workshops Forrest Centre, Marston

Balance Sheets

• List of all assets owned and all liabilities owed by a school at a particular date

• Monetary amounts are attributed to each of the assets and liabilities – balances on balance sheet accounts will be carried forward

Page 9: Fully Funded Workshops Forrest Centre, Marston

Balance Sheet

• Asset - Something valuable which the schools owns or has the use of– Stock– Bank Balance– Debtors – items owed to the school (will include VAT

at year end for previous month)• Liability - Something which is owed to somebody

else:– Loan – Goods purchased but not yet paid for

Page 10: Fully Funded Workshops Forrest Centre, Marston

Balance Sheets• The balance sheet is comprised of the Assets and Liabilities• The net expenditure or balance of the Income and Expenditure account also forms part of the

balance sheet• The figures entered are rounded

Balance Sheet £AssetsStockBank Debtors VAT Debtor Petty Cash

LiabilitiesCreditors ( )

Net Assets ______(Assets less liabilities)

Net Expenditure ______Taken from I&E Statement

Page 11: Fully Funded Workshops Forrest Centre, Marston

Projected Year End Balance Sheet

• Include estimated debtors & creditors (could base on last year)

• Estimate VAT ( could base on 1st return in April 2011)

• Bank balance from projected cashflow• Stock can assume fully used when spent

so show nil.

Page 12: Fully Funded Workshops Forrest Centre, Marston

Cashflow

• Projected cashflow to be submitted by 31st May• Update each month for actuals submit to SFA

with I&E.• Review remaining months actuals to see if any

payments or income that was estimated to be received in past month wasn’t, and needs to be built into following months.

• Year end cashflow will agree to bank balance, not to balance c/f due to year end accruals.

Page 13: Fully Funded Workshops Forrest Centre, Marston

Cashflow

• Cash is cash in hand plus bank balances• Cash Flows are inflows and outflows of

cash• Movements between different cash types

are not included in a cash flow e.g. a cheque drawn for petty cash

• Cash flow does not include debtors and creditors (the Income and Expenditure statement does)

Page 14: Fully Funded Workshops Forrest Centre, Marston

Cashflow

• Template on website• VAT must be accounted for – be aware of

timing differences• Payroll payovers usually the proceeding

month• Advances are monthly• Cash flow balance at end of month must

balance to Cash Book

Page 15: Fully Funded Workshops Forrest Centre, Marston

FF Scheme -Monthly Returns • I&E (template on website) from system print showing

actual income and expenditure to end of previous month and current budget plan. Should be completed on accruals basis. Think about materiality and de-minimus limit for accruals

• System print agreeing to I&E (BvsAvsC for RM or trial balance report for SIMS)

• Cashflow shows actual payments out of the bank account for previous period and budgeted payments & income for remainder of year. Completed on cash basis – no accruals

• VAT Claim

Page 16: Fully Funded Workshops Forrest Centre, Marston

FF Scheme –Quarterly Salaries & Wages Return

• Statutory government return• Quarterly return giving actuals paid out on

salaries & wages.• Deadline is for LA to achieve its deadline

to central government• Programme deadlines into work schedule

in order to meet them

Page 17: Fully Funded Workshops Forrest Centre, Marston

2010-11 Year End • Any invoices to be paid out of 2010-11 must be with

Exchequer Services by 12 noon on 25th March• Any received after that date will be returned to

schools for payment out of 2011-12 bank account. • Schools can then accrue if necessary. Submission

deadline to SFA by 8th April• Keep year end accruals to a minimum• Only material accruals over £1,000 to be submitted

to SFA• Those under de-minimus level may not be

processed by SFA and re-jected by Chief Accountant

Page 18: Fully Funded Workshops Forrest Centre, Marston

2010-11 Arrangements – Closure of Imprest & Petty Cash Account

• Final claim must be with Exchequer Services by 12 noon on 25th March

• Any receipts from staff not included in final claim will have to be held over until after 1st April and paid out of 2011-12.

• Cash in hand declared on final claim must agree with cash paid into central bank account

• Income clearly marked “Repayment of Imprest or Petty Cash Account Cash Balance”

Page 19: Fully Funded Workshops Forrest Centre, Marston

2010-11 Arrangements – Closure of Imprest and Petty Cash Account

• Must complete cash management sheet but with NO GL or COST Centre

• Cross through any remaining cheques so cannot be used, and store in school

• Accounts will be closed by LA

Page 20: Fully Funded Workshops Forrest Centre, Marston

2010-11 Arrangements- Income

• Final date for payment of income into central bank account is 29th March, must submit cash management sheets.

• After that date keep income in safe and pay into bank account after 1st April

• Can accrue if over £1,000• Large amounts received between 29th &

31st can be paid in, if emergency.• NB be aware of insurance limit of safe.

Page 21: Fully Funded Workshops Forrest Centre, Marston

2010-11 Payment of Year end Balances

• After submission of CFR data when final balances have been agreed, underspends will be transferred to bank accounts

• Underspends will be net of accruals• Overspends if licensed will be converted into

loans – no interest charged. Unlicensed deficits deducted from bank advance.

• Letter will be sent confirming how balance has been calculated

• Both revenue & capital balances will be paid over

Page 22: Fully Funded Workshops Forrest Centre, Marston

Advances into Bank Accounts• Follow standard profile of payments in FF scheme• 2 payments in April Initial 1/36 & main 1/12• May to February 1/12• March remaining balance 2/36• Payment Schedule breaks down advance into

constituent parts (SBS/Rates/Threshold/YPLA/Jt Use/SEN)

• In year changes profiled over remaining months advances, schools will be sent revised profile to follow

• Formula Capital once a term June 5/12/Sept 4/12/Jan 3/12

Page 23: Fully Funded Workshops Forrest Centre, Marston

Advances into Bank Accounts

• Follow schedule when paying into local system – CFR codes

• Further guidance on system entries from software helpdesks

• Can submit cashflow if have large capital payment and need to amend profile of devolved formula capital payments

Page 24: Fully Funded Workshops Forrest Centre, Marston

2011-12 Arrangements• Cheque books & paying in books available

for collection today – please don’t use before 1/4/11

• Authorisation of invoices in school in normal way. Keep invoices in school do not submit to LA.

• Cheques to be written out and signed by authorised individuals listed on bank mandate.

• Income paid into account• Petty Cash can be drawn from this account

Page 25: Fully Funded Workshops Forrest Centre, Marston

2011-12 Arrangements - SAP• No longer requirement for school to reconcile

local system with sap and submit copy of reconciliation to SFA as school is prime record holder.

• No further sap autorec files will be sent to schools

• SAP reports will continue to be emailed but they will only show SFA uploads of your monthly reports along with budget plan. Our responsibility to ensure SAP = School

Page 26: Fully Funded Workshops Forrest Centre, Marston

2011-12 Arrangements - SAP

• No further requests with back-up to SFA for re-codes between CFR or GL codes – these to be done in school.

• No further requests for payroll re-codes, if coding on establishment print is wrong, post to correct one on local system.

Page 27: Fully Funded Workshops Forrest Centre, Marston

Bank Reconciliation• Each month items appearing on the bank

statement are reconciled.• The Bank Statement balance is checked against

the cash book balance on local system• The difference will be cheques drawn and

cheques/cash paid into bank but not yet appearing on bank statement

• This check should be carried out every month using appropriate reports from system (unreconciled transaction listing)

Page 28: Fully Funded Workshops Forrest Centre, Marston

Bank Reconciliation• Must not allow bank account to go overdrawn.• Must complete bank reconciliation promptly on a

monthly basis, no need to submit to SFA.• Signed by Headteacher.• Unreconciled items for 2 months reported to

headteacher• With NatWest, schools can have access to

‘VIEW ONLY’ bank account on line.• Cost – application to bank• NO CHAPS/BACS payments at present

Page 29: Fully Funded Workshops Forrest Centre, Marston

Bank Reconciliation

• Helpsheet available for RM schools on learning portal

• SIMS schools contact software helpdesk• At year end need to submit final bank rec

for year and copy of final bank statement

Page 30: Fully Funded Workshops Forrest Centre, Marston

VAT- All Central Bedfordshire Schools still come under the Central Bedfordshire Vat banner.

- Vat returns should be sent on a monthly basis to the Vat Officer based at Technology House by the 10th of the month and signed by the head teacher

- With regards to preparing your Vat return you should follow the guidance from your software provider

- There will be no change to the way you code your invoices. for example if something was coded to V8 (input tax standard rate) previously it will still

be coded as V8 now

- If the Vat amount on an invoice is not 20%, 17.5%, 15%, or 5% a copy of the invoice should be attached to the Vat Return

- .- If there are any queries on the vat return, the vat officer will contact the school either by

phone or e-mail

Page 31: Fully Funded Workshops Forrest Centre, Marston

VAT-You should keep all documentation for 6years plus current year.

- If there are no queries, the Vat will be reimbursed to the school on a monthly basis, usually in the first week of the month, the first reimbursement will be June.

- You cannot recover vat if you purchase something direct from your private funds. You can however, register your private funds for vat in its own right if the turnover for the previous year is more than the current threshold of £70K. HMRC will issue the school with its own Vat registration number for this purpose. The school will need to complete a separate Vat return for this and submit it directly to HMRC.

Page 32: Fully Funded Workshops Forrest Centre, Marston

VAT• FURTHER GUIDANCE AND INFORMATION

THAT CAN BE FOUND ON THE LEARNING PORTAL

- The full Central Bedfordshire Vat Guide will be published on the schools website by 1st April

- Schools frequently asked questions

- Guidance for VA schools

- Penalties that may be incurred VAT

- Summary sheet for SIMS Schools

Page 33: Fully Funded Workshops Forrest Centre, Marston

VATSOME USEFUL NUMBERS

• Our Vat Registration number is - 946 8171 86

• Parmjit Teji Senior Financial Advisor - Treasury Management: - Telephone 0300 300 4081

• Connie Bentley Financial Advisor – Vat Telephone 0300 300 4554

• Emma Burton Senior Financial Manager - Strategy. Telephone 0300 300 4803

Page 34: Fully Funded Workshops Forrest Centre, Marston

VAT

AND FINALLY

• We also subscribe to Vat helpline – Elysian Associates, for any questions that the Vat Officer cannot answer

Page 35: Fully Funded Workshops Forrest Centre, Marston

RM Schools• New datafiles will be available for schools to download

from the Learning Portal: www.learning.centralbedfordshire.gov.uk go to the Administrators Tab and then RM Finance

• NEW datafiles to be used from the 1st April 2011 – Schools will need to set up Suppliers/Income Sources/Budget codes specific to the school

• Year end will need to be completed on your old datafile to agree your balances to SAP for 2010-11

• Instructions on how to complete your month end bank and VAT Returns will be available for schools to down load.

Page 36: Fully Funded Workshops Forrest Centre, Marston

G2 Finance Schools• Continue to use current database

• Instructions will be issued regarding setting up a new bank account and the payment process

• Instructions on how to complete your month end bank and VAT Returns will be available for schools to down load.

• Further guidance to be issued shortly.

Page 37: Fully Funded Workshops Forrest Centre, Marston

SIMS Schools

• Have informed Capita of change.• They were emailing schools with details in

preparation for 1st April.• Contact Michelle Armstrong

Customer Services ManagerMobile:  0788 1515 366Email:  [email protected]

Page 38: Fully Funded Workshops Forrest Centre, Marston

Payroll & HR

• All Staffing timesheets to be coded to the schools cost centre ending in 3 NOT 1

• Payroll will be invoiced monthly with a direct debit deduction from the schools bank account

Page 39: Fully Funded Workshops Forrest Centre, Marston

Payroll• Draft Report issued mid-month, opportunity to

feed back queries to payroll – please check this closely and authorise in school.

• Final Report issued end of month with the actual payroll that has been paid. Please ensure this is authorised.

• Quarterly Salaries & Wages return is required and it is important to meet the deadline for submission as it feeds into CBC statutory government return. Please programme into the schools work schedule.

Page 40: Fully Funded Workshops Forrest Centre, Marston

Payroll

• Buyback from CBC – Serco Scheme says that where LA’s payroll

supplier used, statutory returns relating to payroll financial statements are completed

• A notice period will need to be given if the school wishes to go to an alternative supplier

Page 41: Fully Funded Workshops Forrest Centre, Marston

Payroll

Where a school elects to use an alternative payroll provider all associated responsibilities will rest with the school.

Further details in CBC’s Finance Regs.

Page 42: Fully Funded Workshops Forrest Centre, Marston

2011-12 Arrangements - Governors

• Keep Governors informed of changes• Need to approve revised Finance Manual• Reports to Governors now include

Cashflow• Appointment of a Responsible Officer (not

chair of finance) but likely to be a member of finance committee

• Useful document was R32 ‘Financial Guidance for Governors’ from old FMSiS

Page 43: Fully Funded Workshops Forrest Centre, Marston

2011-12 Arrangements – Responsible Officer

• Balances out some of the risks associated with full financial delegation

• visits to randomly select cross section of accounts and systems to check. Report back on findings to Finance Committee or full governors.

• Enhances schools financial management arrangements.

• Provides governing body with independent assurance as the satisfactory operation of the schools finance systems.

Page 44: Fully Funded Workshops Forrest Centre, Marston

Audit

• School becomes prime record holder, refer to guidance on website for retention of documents

• Segregation of duties between person authorising invoice, and person writing out cheque.

• Security of cheque books in schools• Questionnaire for fully funded schools

available on learning portal

Page 45: Fully Funded Workshops Forrest Centre, Marston

Finance Manual

• Schools Finance Manuals will need updating for the changes in procedures

• Governors need to approve and their recommendations should be included in Governors minutes.

Page 46: Fully Funded Workshops Forrest Centre, Marston

General

• Securicor Contract – schools should look at their existing contracts and make any changes as necessary – further guidance available shortly

• SFA’s will check & challenge as necessary schools returns to ensure they agree to submitted system prints

• Schools quarterly will receive interest on bank balances, credit to I08 4199100

Page 47: Fully Funded Workshops Forrest Centre, Marston

Any Questions?

www.learning.centralbedfordshire.gov.uk