• Grants and Restricted Funds

    The mission of the Restricted Funds Accounting Department is to provide contract/grant and financial aid management to ensure sponsored programs maintain fiscal compliance according to contract and government guidelines, while committing to the scope of services as contracted.


    Customer Service: 
    Provide direct service to department and agency administration, project directors and internal and external auditor's. 

    Fiscal Compliance: 
    Maintain an accounting system which complies with internal, sponsoring agency and goverment regulations and policies.  A department number and budget is established in Datatel when an executed agreement is received and a request is submitted to this department.    Restricted fund financial transactions are determined to be compliant according to contract provisions and policy approved by this department.

    Financial Reporting: 
    Prepare accurate and timely reports to sponsoring agencies and internal personnel such as cash flow, board statements and accrual reports.

    Agency Invoicing: 
    Prepare and submit accurate and timely billings as contracted.  This is coordinated with Project Director when project status reports must accompany an agency invoice.

    Accounts Receivable: 
    Process payments received via check or ACH and maintain the restricted funds balance sheet.

    Closing of Restricted Funds/Projects: 
    Prepare year-end financial statements and closing entries to the general ledger.  Prepare and submit final close-out reports as required by sponsoring agencies.  Prepare year-end A-133 audit report statements.


         Department Request Form

         Grant Inventory Control List