Manage funds

Discover how to monitor and manage funds.

Ongoing monitoring and management of Funds is carried out in the Account Instances and Account Transactions domains.

Transfer funds

  1. Go to Funds>Account Transactions.
  2. Use New Record in Context.
  3. From the Transaction Type drop-down list, choose Fund Transfer.
  4. In the Value field enter the amount to be transferred.
  5. Click on Debit account to select the Account Instance from which you wish to transfer the funds.  
  6. Click on Credit account to select the Account Instance that you wish to transfer the funds to.  
  7. Save the changes.

Other fund transactions

Other transaction types are used for any manual function which cannot be handled as an allocation or fund transfer. This transaction type is not used very often.

  1. Go to Funds>Account Transactions.
  2. Use New Record in Context.
  3. From the Transaction Type drop-down list, choose Other. This displays all fields that can potentially affect the Account Instance.
  4. Select the relevant Source Currency.
  5. You can choose an Account and enter the amount that you want to credit.
  6. You can also choose an Account that you want to record a Committed or Spent amount to.
  7. You can select a particular Order Item or Invoice.
  8. It is recommended that you enter a Note to explain the Other transaction for future reference.

For example a book may be ordered from the Library budget, checked in and invoiced. Later an Other transaction could be carried out to move the spent amount to the Library budget Multimedia account instance. This transaction will move funds only from committed or spent funds.

Credit Account Lib Multimedia
Credit Amount 96.00
Debit Account Library 2005-2006
Note This was invoiced from the main Library Budget and should have been paid for by the.......

Monitor funds

You can check the overall status of specific funds by using the Account Instances domain. From here you can view the status of all account instances which are managed in OLIB.

Reports

You can view and print PDF output detailing account transactions and balances.

  1. Go to Funds> Account Instances and perform a search.
  2. Check the box(es) next to the account(s) you wish to report on and click Print.
  3. Alternatively display the details of an account and click Print.
  4. In the print selection choose the layout you would like:
    • Account Instances Standard: This displays the totals for Committed, Available and Spent etc..
    • Account Transactions: This displays the transaction details leading to the displayed totals.
  5. Print out the PDF output if required.