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Reports: Setup - Fund

Reports: Setup - Fund

Report Description

This report is used to confirm configuration and ensure that all funds are properly setup according to the institution’s expectations. It provides confirmation of the following:

  • Fund set-up elements and related packaging and disbursement rules including fund assignment, priority of award allocation and disbursement scheduling rules.

  • Disbursement models are properly identified in the “Scope” column with either the Academic Year set-up as SAY or BBAY loan periods per period of enrollment configuration or as Federal Award Year that follows Pell disbursement models.

  • Account ID’s are properly linked to the correct student account code in the institution’s accounts receivable system.

Information set-up to be displayed to the student via the portal is accurate.

 Report Parameters / Filters

  • Enterprise

  • Institution (multi-select)

  • Campus (multi-select)

  • Fund Source (multi-select)

  • Fund Type (multi-select)

  • Fund Name (multi-select)

Output Columns

  • Fund Detail

    • Fund Name

    • Fund Source

    • Fund Type

    • Official Fund Name

    • Fund Scope

    • Rule Set Period Applicability

    • Adjust After Census Date

    • CTP  Eligible

    • Active

    • Description

    • External ID (1 through 4, if applicable)

    • School ID

    • Agency Program ID

    • Delay Frist Disbursement 30 Days

    • Multiple Disbursement Requirement

    • Promissory Note Print Code

    • Disclosure Statement Print Code

    • Allow Auto-Adjustment of Paid Disbursements

    • All Sites

    • All Programs

  • Awarding Rules

    • Rounding

    • Initial Award Status

    • Adjustments Allowed

    • FAP Limit

    • Aggregate Limit

    • If no ISIR, allow awarding from Estimated EFC when available

    • ISIR Required?

    • SAP Required?

  • Award Minimums/Maximums

  • Budget Settings

    • This Fund has Budgets

    • Budget Scope

  • Disbursement Schedules

  • Packaging Philosophies

 

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