Flow Chart of Financial Monitoring & Planning in WebSAMS version 2.0

Financial Monitoring & Planning (FMP)

/  School Level and Session to be retrieved from School Management Module
/ /  Subject to Common Setup
/ /  Subject to Common Setup

/ /  Subject to Common Setup
/ /  Subject to Common Setup
/  Subject to Common Setup
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/  Subject to Common Setup
/ /  Subject to Common Setup
/ School Accounting Information
  • Define the sub-module(s) to be used and the effective date
  • Select budget check option if both budgeting and bookkeeping sub-modules are selected
Accounting Year Maintenance
  • Create a new accounting year whenever necessary
  • Re-open of a closed accounting month is allowed
Chart of Account Maintenance
  • Maintain new sources of fund, ledger codes, sub-ledger codes and account codes
  • Maintain new programme codes for each new accounting year. Copying by year or by session is allowed
  • Maintain bank information including cheque format and bank autopay format
Voucher Type Maintenance
  • Define voucher type to be used and select use of auto-generation of voucher number
Location Maintenance
  • Location details is used in Capital Asset Register and Sales & Stock sub-modules to record the location of assets and stock

/ Input grant amount allocated by Education Bureau. In preparing the budget income, the budget amount will check against the grant amount
Budget income is prepared at account code level. It can be created by preparing a new budget or by copying from current year’s draft budget or from previous year’s actual amount or revised budget of one school session to another session
Budget expenditure is prepared at programme and account code level. This can be created either by preparing a new budget or by copyingfrom current year’s draft budget or from previous year’s actual amount or revised budget of one school session to another session
Generate budget information for preparing School Plan
Maintain payment, receipt, petty cash and journal vouchers. Copying from existing vouchers is allowed.
Can select auto-generation of voucher numbers. Can print vouchers ofdifferent status, viz draft, unposted and posted
If budgeting module is used, activate budget check when a voucher is saved
Can select vouchers for posting
Can print cheque on ten pre-defined cheque formats. Cheque printing is made on manual cheque provided by the bank
Allow to re-open a closed accounting month
Before proceeding to Year End Process, perform Pre Year End Process to generate reports for checking.
Capture audit adjustments separately in adjustment month
Perform Bank Reconciliation
Generate Annual Accounts
/ Set up staff master either by retrieving basic staff information from Staff and Staff Deployment Modules or by input in FMP
Can prepare monthly payroll with different payment method
Can generate three pre-defined format bank autopay files
Maintain Provident Fund Register
Generate hardcopy and softcopy of Employer’s Tax Return (IR56B) to IRD /
Setup is used to define asset category, asset master and analysis code if necessary
Can record purchase of new assets, write-off assets and asset quantity on hand
Record location details and responsible officer of assets
Transfer of asset from one location to another or from one responsible officer to another is allowed
Maintain Depreciation Summary
Provide worksheet with breakdown by location or responsible officer for stocktaking
Setup is used to define stock category, stock master, analysis code if necessary and costing method of stock
Maintain details for purchase and sales of stock and stock balance
Profit / loss on stock sales is calculatedwhen pre year process is performed
Maintain cash receipts and bank-in details
Maintain Non-recurrent Grant Register for buildings and furniture & equipment