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picture1_Word Real Estate Templates 30960 | Re 1 Leasesinleasesoutinternalexternal 0


 199x       Filetype XLSX       File size 0.63 MB       Source: umoja.un.org


File: Word Real Estate Templates 30960 | Re 1 Leasesinleasesoutinternalexternal 0
sheet 1 summary these posting schemas relates to leasein where the un rents space also external and internal leaseouts in real estate external leaseouts are leases where the space is ...

icon picture XLSX Filetype Excel XLSX | Posted on 08 Aug 2022 | 3 years ago
Partial file snippet.
Sheet 1: Summary
These posting schemas relates to Lease-IN (where the UN rents space).
Also External and Internal Lease-Outs in Real Estate. External Lease-Outs are leases where the space is leased to a UN agency external to Umoja, or any other commercial entity. Internal Lease-Outs are leases where the space is leased to an entity internal to Umoja.






































































# Step Description Who (Provider/receiver of service) Doc Type Debit/Credit GL Acct GL Name R/S Amount Object
1.1 SES Acceprtance
WE Dr 74102010 OE Infrastructure Service Rental of Premise R 1,000.00 CC, IO,WBSE



WE Cr 35401010 GR/IR NA (1,000.00)










1.2 Invoice
RE Dr 35401010 GR/IR NA 1,000.00



RE Cr 35101510 AP Commercial Vendor NA (1,000.00)




















2 Post Receivable RE-Lease OUT External FA.05 Senior Approver GL AP AR CO RL Dr 151XXXXX AR GL [BP customer] NA 1,000.00



RL Cr 691XXXXX SP/NSP Revenue S (1,000.00) RE Contract



RL Dr 691XXXXX SP/NSP Revenue S 1,000.00 RE Contract



RL Cr 691XXXXX SP/NSP Revenue S (1,000.00) RE Object










2 Post Receivable RE-Lease OUT INTERNAL FA.05 Senior Approver GL AP AR CO RL Dr 7XXXXXXX Expense XXXX R 1,000.00



RL Cr 691XXXXX SP/NSP Revenue S (1,000.00) RE Contract



RL Dr 691XXXXX SP/NSP Revenue S 1,000.00 RE Contract



RL Cr 691XXXXX SP/NSP Revenue S (1,000.00) RE Object





Sheet 2: PS-RE.1 LEASE-IN
PS-RE.1 Lease IN Financial Accounting Controlling Funds Management Grants Management
Business Scenario
Doc
type
Dr/Cr PK * GL Account Description Amount Grant Commitment
Item
Fund** Obj Type Object Cost Element Ezra Agao: In FM posting lines, budget consumption and FI debit entries will have a (-) sign. Decreases in budget consumption and FI credit entries will have a (+) sign Amount Value Type Amount Type Real/ Stat Commitment
Item
CI Name Real Estate Object Fund** Funds
Center**
Funded
Program
Amount Value Type Dr/Cr Real/
Stat
GL Account Commitment
Item
Grant Sponsored Class
IF Applicable
Sponsored Program
IF Applicable



































































STEP 1: CREATE REAL ESTATE OBJECTS































From a financial perspective for Lease IN (where the UN is the lessee) this step is informational for the Real Estate Obj is informational. No postings created. Note it can be linked to the PO (there is a field related to Real Estate Objects on the PO to derive the account assignment info).































































































STEP 2: Create the Shopping Cart











(1,000.00) 50 0100 R 74102010 OE Infrastructure Service Rental of Premise RO #XXXXX/XX eg 10UNA 12345 FPNR









The Real Estate object fields are entered on the SC
































































STEP 3: Create the PO











1,000.00 50 0200 R 74102010 OE Infrastructure Service Rental of Premise RO #XXXXX/XX eg 10UNA 12345 FPNR






















(1,000.00) 51 0100 R 74102011 OE Infrastructure Service Rental of Premise RO #XXXXX/XX eg 10UNA 12345 FPNR










































STEP 4: Create the Lease IN































No accounting effect. The SRM contract is entered into the General data tab. Same object referenced in the Purchase Order is attached on the Objects tab of the Lease-In automatically.































































STEP 5: SES entered WE Dr 81 74102010 OE Infrastructure Service Rental of Premise 1,000.00 GMNR 74102010 eg 10UNA CTR 12345 74102010 1,000.00 51 0200 R 74102010 OE Infrastructure Service Rental of Premise RO #XXXXX/XX eg 10UNA 12345 FPNR









Tcode ML81N WE Cr 96 35401010 GR/IR (1,000.00) GMNR 35401010 eg 10UNA BU RO #XXXXX/XX 74102010 (1,000.00) 54 0100 R 74102010 OE Infrastructure Service Rental of Premise RO #XXXXX/XX eg 10UNA 12345 FPNR










































STEP 6: Invoice receipt created RE Dr 86 35401010 GR/IR 1,000.00 GMNR 35401010 eg 10UNA


1,000.00 51 0200 R 74102010 OE Infrastructure Service Rental of Premise RO #XXXXX/XX eg 10UNA 12345 FPNR 1,000.00 54 Dr S 35401010 74102010 GMNR


Tcode MIR7 RE Cr 31 33XXXXXX AP (Vendor BP) (1,000.00) GMNR 33XXXXXX eg 10UNA


(1,000.00) 54 0100 R 74102010 OE Infrastructure Service Rental of Premise RO #XXXXX/XX eg 10UNA 12345 FPNR (1,000.00) 54 Cr S 33XXXXXX 33XXXXXX GMNR



































STEP 7: Payment Document KZ Dr 25 33XXXXXX AP (Vendor BP) 1,000.00 GMNR 33XXXXXX eg 10UNA


1,000.00 54 0200 R 74102010 OE Infrastructure Service Rental of Premise RO #XXXXX/XX eg 10UNA 12345 FPNR 1,000.00 54 Dr S 33XXXXXX 74102010 GMNR


Tcode MIR7 KZ Cr 50 11XXXX14 Cash CUR XXXXEFT AP (1,000.00) GMNR 11XXXX14 64QVA


(1,000.00) 57 0250 R 74102010 OE Infrastructure Service Rental of Premise RO #XXXXX/XX eg 10UNA 12345 FPNR (1,000.00) Y2 Cr S 11XXXX14 11XXXX14 GMNR















1,000.00 57 0250 R 74102010 OE Infrastructure Service Rental of Premise RO #XXXXX/XX eg 10UNA 12345 FPNR










ZZ Dr 40 11701010 Csh MAIN Pool 1,000.00 GMNR 11001000 64VQA












1,000.00 Z1 Dr S 11701010
GMNR



ZZ Cr 50 11701010 Csh MAIN Pool (1,000.00) GMNR 11001000 eg 10UNA












(1,000.00) Z1 Cr S 11701010
GMNR








































































































































































































Sheet 3: PS-RE.2 LEASE-OUT (EXT)
PS-RE.2 Lease OUT (External). Financial Accounting Controlling Funds Management Grants Management

The Lesee is NOT an entity within the UN-Sec using Umoja Doc
type
Dr/Cr PK * GL Account Description Real Estate Key Amount Grant Commitment
Item
Fund** Obj Type Object Cost Element Ezra Agao: In FM posting lines, budget consumption and FI debit entries will have a (-) sign. Decreases in budget consumption and FI credit entries will have a (+) sign Amount Value Type Amount Type Real/ Stat Commitment
Item
CI Name Fund** Funds
Center**
Funded
Program
Amount Value Type Dr/Cr Real/
Stat
GL Account Commitment
Item
Grant Sponsored Class
IF Applicable
Sponsored Program
IF Applicable


































STEP 1: CREATE the LEASE CONTRACT (RE.03 Lease Creator)































The contract will have the dates, the frequency of billing, the amounts, the house bank for the lessor, the BP of the lessee. Note: The information for the revenue posting is coming from the RE-Object (Posting Parameters), not the contract. This is saved and goes to workflow.































































































STEP 2: Contract Approval (RE.04-Contract Approver), approve or reject












Note there is no forecast of revenue postings for Lease-Out External

















Note: this is approved through workflow
































































STEP 3: Post invoice for particular period (FA.05 Financial Senior User GL AP AR CO) RL Dr 01 151XXXXX AR GL [BP customer] Note 5.
1,000.00 GMNR 151XXXXX












1,000.00 55 Dr S 151XXXXX 151XXXXX GMNR (note 4.)



RL Cr 50 691XXXXX SP/NSP Revenue Note 1 REC 1000/200000123 (note 3) (1,000.00) GMNR 691XXXXXS From RE-Obj Note 2 REC REC #Contract 691XXXXX (1,000.00) 54 0100 S 691XXXXXS SP/NSP Revenue Note 1 From RE-Obj Note 2 From RE-Obj Note 2 From Fund Center (1,000.00) Y7 Cr S 691XXXXX 691XXXXXS GMNR (note 4.)


Tcode RERAPP. Note the notificaiton to the FA.05 user is manual, usually sent in an email etc. They will also notify the FA.05 what period to bill.

RL Dr 40 691XXXXX SP/NSP Revenue Note 1 REC 1000/200000123 (note 3) 1,000.00 GMNR 691XXXXXS From RE-Obj Note 3 REC REC #Contract 691XXXXX 1,000.00 54 0100 S 691XXXXXS SP/NSP Revenue Note 1 From RE-Obj Note 3 From RE-Obj Note 3 From Fund Center 1,000.00 Y7 Cr S 691XXXXX 691XXXXXS GMNR (note 4.)


RL Cr 50 691XXXXX SP/NSP Revenue Note 1 RO 1000/200123/01 (note 3) (1,000.00) GMNR 691XXXXXS From RE-Obj Note 4 RO RO #XXXXX/XX 691XXXXX (1,000.00) 54 0100 S 691XXXXXS SP/NSP Revenue Note 1 From RE-Obj Note 4 From RE-Obj Note 4 From Fund Center (1,000.00) Y7 Cr S 691XXXXX 691XXXXXS GMNR (note 4.)


































STEP 4: Creation of an invoice number/document for vendor (FA.05 Financial Senior User GL AP AR CO)































Tcode RERAIV. This is done to link the accounting document in 3. with an invoice number and to create a PDF to send to the vendor.


































































































































































































Note 1: the revenue GL used depends on the Condition selected in the contract (these conditions relate to Flow types and the Flow types are mapped in config to GLs, See list in tab)

Note 2: All RE-Objects have assessed funds/fund center on them (Posting Parameters>Organisation Assignment), as the base rent collected on lease space is NSP and needs to be returned to MS. If any part of the revenue however relates to things that we dont need to return then that is SP. There is an FM Derivation rule set up so that if the GL is SP it will look up the fund then change the revenue fund to another i.e. from 10UNA to 10RCR or 10ICR to 10UNA (see list attached).

Note 3: As this is a transfer posting the system posts and debit and credit to the RE Contract then a Credit to the RE-Object.

Note 4: No revenue should be coming to a grant via rental income. Entities instructed not to do this.

Note 5: The BP is populated based in the BP number of the vendor on the RE-Contract (Partner tab).
































The words contained in this file might help you see if this file matches what you are looking for:

...Sheet summary these posting schemas relates to leasein where the un rents space also external and internal leaseouts in real estate are leases is leased a agency umoja or any other commercial entity an step description who providerreceiver of service doc type debitcredit gl acct name rs amount object ses acceprtance we dr oe infrastructure rental premise r cc io wbse cr grir na invoice re ap vendor post receivable release out fa senior approver ar co rl xxxxx spnsp revenue s contract xxxxxxx expense xxxx psre lease financial accounting controlling funds management grants business scenario drcr pk account grant commitment item fund obj cost element ezra agao fm lines budget consumption fi debit entries will have sign decreases credit value stat ci fundscenter funded program sponsored class if applicable create objects from perspective for lessee this informational no postings created note it can be linked po there field related on derive assignment info shopping cart ro eg una fpnr fiel...

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