- Business Center
- Finance
Finance & Payroll
Page Navigation
Finance Services
-
ESC Region 11's Business Center currently provides business services to school districts and charter schools. We assume the role of the corporate controller and maintain a general ledger on a computerized accounting system that keeps track of all accounting functions for member school districts, in full compliance with the TEA Financial Accountability Resource Guide. This service allows schools to concentrate on more important aspects of running their school district while remaining confident that their books are being overseen by knowledgeable, competent professionals.
As a part of the accounting process, the Business Center performs the following finance functions:
-
Budget Processing
Prepare budget workshop report
Input budget into finance system
Post budget amendments and adjustments
Budget reporting
Cash Receipt Processing
Receive and post cash receipts to finance
Cash receipts reporting
Purchase Order Processing
Encumber purchase orders
Outstanding purchase order reporting
Finance Check Processing
Post and print finance checks
Bank reconciliation to general ledger
Disbursement reporting
-
General Ledger Maintenance
Post journal entries
Balance general ledger and funds prior to closing
Close files monthly
End-of-month reporting
Year-End (fiscal/calendar) Processing
Prepare 1099s at calendar year-end
Closeout the fiscal year
Year-end reporting
System Maintenance
Perform and maintain all file backups
Archive data
Pre-Audit Preparation
Create data files for auditor
Generate and issue reports to auditors
PEIMS Submission
Extract budget data for PEIMS file