Tools Library Page

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Form Last Updated
Workday Time Tracking & Absence Retro Edit Tuesday, January 9, 2018
Service Provider Contract for Language Translation and Interpretation (including Sign Language) ( 145.78 KB) Tuesday, February 23, 2021
Service Provider Contract for Writing, Editing, Indexing ( 248.2 KB) Friday, July 10, 2020
Payroll Direct Deposit Tuesday, March 28, 2017
Executive MBA Program Tuition Waiver Taxation Form Wednesday, June 22, 2016
Application to Request Closure of a Bank Account ( 28 KB) Wednesday, September 20, 2017
Semimonthly On-Demand/On-Cycle Correction Form ( 669.97 KB) Monday, June 17, 2019
Biweekly On-Demand/On-Cycle Correction Form ( 677.95 KB) Monday, June 17, 2019
Bank Deposit (Excel, 315 KB) ( 314.5 KB) Friday, July 8, 2011
Service Provider Contract for Photographer, Artist, Illustrator ( 234.92 KB) Friday, July 10, 2020
Service Provider Contract for Graphic Design or Videography ( 188.17 KB) Friday, July 10, 2020
Services Provider Contract ( 235.26 KB) Thursday, December 7, 2017
Performer with Equipment Contract ( 206.82 KB) Friday, July 10, 2020
Performer Without Equipment Contract ( 207.11 KB) Friday, July 10, 2020
Travel Manual Reimbursement Form ( 134.54 KB) Tuesday, March 7, 2023
Request to Change Authorized Bank Signer ( 32 KB) Wednesday, September 20, 2017
Request to Change Departmental Contact or Departmental Bank Account Reconciler ( 15.02 KB) Wednesday, September 20, 2017
Application to Request a New Bank Account ( 35 KB) Monday, August 1, 2022
Remote Deposit Capture Enrollment and Setup Form ( 345.74 KB) Wednesday, May 17, 2023
Notification of Claiming Unidentified Receipts Tuesday, May 26, 2020

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Title Categorysort descending Code Description
Computer - Finance Lease Asset 1895 Asset, balance represents capitalized acquisition value for finance (formerly capital) computer leases. Used periods 1-13, auto generated entry when certain capital acquisition object codes (level CAPA) are used.
Investments - Subsidiary Asset 1710 Use: Limited to the Division of Financial Services (DFS).
Cash Offset Asset 1000 Cash offset entries are generated for most transactions, thereby balancing the account (debits equal credits), independent of any other account. Use: Most of the entries you create will automatically generate a cash offset entry. These are automatic.
Accum Depr - Computer Finance Lease Asset 1896 Contra-asset, balance represents accumulated value of depreciation recorded for university's software systems Use: Used periods 1-12, auto generated once per month when the depreciation batch job is run. System determines amount of transaction based on records in the CAM Module
Investments - PLIF Asset 1720 Use: Limited to the Division of Financial Services (DFS).
Cash - Petty Cash Asset 1100 Minimal amount of cash kept on hand to pay for small expenditure items ($75 and under) when a procurement card cannot be used. Use: See policy 3.21
Vehicles - Capital Lease Asset 1897 Asset, balance represents capitalized acquisition value for capital vehicles leases. Used periods 1-13, auto generated entry when certain capital acquisition object codes (level CAPA) are used.
Investments - Master Trust Plan Asset 1730 Use: Limited to the Division of Financial Services (DFS).
Cash Drawer Asset 1101 Specific amount of cash used to make change in retail operations. (register drawer or vault) Use: Reconciliation of cash drawers should be done every day the drawer is used and periodically if the drawer is not used regularly
Accumulated Depr -Vehicle Capital Leases Asset 1898 Contra-asset, balance represents accumulated value of depreciation recorded for university's software systems Use: Used periods 1-12, auto generated once per month when the depreciation batch job is run. System determines amount of transaction based on records in the CAM Module
Investments - MTP Contra Asset 1735 Use: Limited to the Division of Financial Services (DFS).
Cash In Bank Asset 1110 Represents the actual cash deposited in Cornell's bank accounts. Use: Automatically populated by KFS when an advance deposit (AD) is completed.
Accumu Depr - Equip Finance Leases Asset 1899 Contra-asset, balance represents accumulated value of depreciation recorded for university's software systems Use: Used periods 1-12, auto generated once per month when the depreciation batch job is run. System determines amount of transaction based on records in the CAM Module
Investments - SI Gift Annuity Asset 1740 Use: Limited to the Division of Financial Services (DFS).
Restricted Cash Asset 1120 Represents cash received and being held for a restricted purpose (ie security deposit)
Intangible Assets Asset 1910 Intangible Assets. Examples include Cryptocurrency, etc. DFS use only.
Investments - Separately Invested Asset 1745 Use: Limited to the Division of Financial Affairs.
Cash Equivalents Asset 1130 Marketable assets that are very close to their maturity dates. Use: Use limited to the Division of Financial Services.
Investments - DASNY Asset 1750 Use: Limited to the Division of Financial Affairs.
Accounts Receivable Asset 1200 A current asset representing an amount due Cornell resulting from the sale of goods or services. Use: Any department where goods and services are invoiced.

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