Skip to main content

GEN-01 NCFS Daily Schedule Processing

Purpose

The purpose of this Quick Reference Guide (QRG) is to provide a daily overview of scheduled posting, interfaces, and reports generated in the North Carolina Financial System (NCFS).
 

Daily Schedule Interface/Report/AutoPost Full Name Inbound/Outbound Process Area
12:00 AM  INT-AP-002   AP Invoices Inbound Procure to Pay
12:01 AM  INT-AP-016   AP Outbound Procure to Pay
12:05 AM  INT-AP-030   AP One Time Payments Inbound Procure to Pay
4:45 AM  INT-BE-020  Capital Improvement Allotment Interface from IBIS  Inbound  Budget Execution 
5:00 AM  INT-BE-002  General Fund Allotment Interface from IBIS  Inbound  Budget Execution 
5:00 AM  INT-AP-025 AP Payment Priority Update  Inbound  Procure to Pay 
5:00 AM  INT-CM-020  AP Check Information for External Cash Transaction Interface   Inbound  Procure to Pay 
5:00 AM  INT-CM-019  NCFS Transfers Interface from Agencies  Inbound  Cash Management 
5:00 AM  INT-RTR-066  NCFS Journal Interface from Agencies  Inbound  Record to Report 
5:00 AM  INT-RTR-013  GL Balances from Interface Agencies  Inbound  Record to Report 
5:00 AM  INT-CM-019  COPS Transfer Interface from IBIS  Inbound  Record to Report 
5:00 AM  INT-CM-019  SCIF Transfers Interface from IBIS  Inbound  Record to Report 
5:15 AM  INT-CM-011  Bank Statement Import from DST  Inbound  Cash Management 
5:15 AM  AutoPost runs  Posts ALL IBIS interface transactions     
5:30 AM  AutoPost runs  Posts all non-cash transactions     
5:35 AM  INT-BE-018  Operating & Capital Appropriations Interface from IBIS  Inbound Budget Execution 
5:45 AM  Transfer to GL runs  Moves COPS & SCIF transactions to General Ledger     
5:45 AM  INT-BE-019  Appropriation Transfers Interface from IBIS  Inbound Budget Execution 
6:00 AM  AutoPost runs  Posts all COPS/SCIF transactions     
6:00 – 9:40 AM  Auto Approval of Deposits (every 15 min)   *ACH/Wire Deposits require manual DST approval – submit journals early to allow time for approval    Cash Management 
9:00 AM  INT-BE-002  General Fund Allotment Interface from IBIS  Inbound Budget Execution 
9:00 AM  INT-RTR-066  NCFS Journal Interface *Users should query interface file and review for accuracy  Inbound Record to Report 
9:10 AM  INT-BE-020  Capital Improvement Allotment/ Supplemental Cash Interface from IBIS  Inbound Budget Execution 
9:15 AM  AutoPost runs  Posts IBIS interfaces from 9am     
9:45 AM  AutoPost runs  Posts all Approved Deposits     
9:45 AM  AutoPost runs  Posts all non-cash transactions      
9:45 AM  INT-BE-019  Appropriation Transfers Interface from IBIS  Inbound Budget Execution 
10:00 AM  Payment Approval Initiated in AP   AP users should have all PPRs (Payment Process Requests) in ‘Payment Approval Initiated’ status    Procure to Pay 
10:05 AM  Create Accounting batch process in Payables   Invoices available for payment after process completes    Procure to Pay 
10:15 AM  INT-CM-012  AP IGOs to IC Interface  Inbound Cash Management 
10:30 AM  Central Compliance deadline for IC Transfers, Manual Disbursements & AP Disbursements  Central Compliance deadline for IC Transfers, Manual Disbursements & AP Disbursements    Cash Management 
10:30 – 1:00 PM  Central Compliance reviews Transfers (interfaced and manual), Manual Disbursement Journals, AP Disbursement Journals, E–pays -- approves/rejects as applicable *Users should run Cash Availability Report prior to submitting manual Transfers or Disbursements to ensure funds Central Compliance reviews Transfers (interfaced and manual), Manual Disbursement Journals, AP Disbursement Journals, E–pays -- approves/rejects as applicable *Users should run Cash Availability Report prior to submitting manual Transfers or Disbursements to ensure funds   Cash Management 
12:30 PM  Transfer to GL process runs – Moves all Approved IC transactions to General Ledger  Transfer to GL process runs – Moves all Approved IC transactions to General Ledger     
1:00 PM  AutoPost runs – Posts all Approved Disbursements & IC transactions. *Users can run daily transactional reports to review posted and pending transactions AutoPost runs – Posts all Approved Disbursements & IC transactions. *Users can run daily transactional reports to review posted and pending transactions    
1:00 PM  AutoPost runs – Posts all non-cash transactions   AutoPost runs – Posts all non-cash transactions    
1:20 PM  AutoPost runs – Posts all interfaced transactions from NCHFA, NCEL, NCDOT and Universities Agency  AutoPost runs – Posts all interfaced transactions from NCHFA, NCEL, NCDOT and Universities Agency    
1:30 PM  Create Accounting batch process in Payables *Invoices available for payment after process completes  Create Accounting batch process in Payables *Invoices available for payment after process completes   Procure to Pay
1:45 PM  INT-CM-012  AP IGOs to IC Interface  Inbound Cash Management 
2:00 PM  INT-RTR-013  GL Balance interface from Interface Agencies  Inbound Record to Report 
2:00 PM  RPT-CM-041  Daily Cash Position Report generated and published by Central Compliance    Cash Management 
2:30 PM  RPT-CM-013  Weekly Cash Watch Report generated (Fridays) and published by Central Compliance    Cash Management 
7:30 PM  Create Accounting batch process in Payables *Invoices available for payment after process completes  Create Accounting batch process in Payables *Invoices available for payment after process completes   Procure to Pay 
7:45 PM  INT-CM-012  AP IGOs to IC Interface  Inbound Cash Management 

First Published

Last Updated