YEAR-END REPORTS NO. 7 PRE-CLOSING AND NO. 8, POST-CLOSING TRIAL BALANCES - 7962

(New: 03/2011)

At year-end, departments will prepare a pre-closing and post-closing trial balance as of June 30. The Pre-Closing Trial Balance, Report No. 7, lists the general ledger account balances for nominal and real accounts, including accruals and adjustments, before the nominal accounts have been closed. The Post- Closing Trial Balance, Report No. 8, lists the general ledger real account balances, including accruals and adjustments, after the nominal accounts have been closed. General ledger accounts that require a subsidiary number must be reported individually (e.g., Due to Other Funds, Due From Other Funds, Prepayments to Other Funds, Provision for Deferred Receivables, etc.). A pre and a post-closing trial balance are required for each fund in the State Treasury (including the Special Deposit Fund) and for trust fund accounts outside the State Treasury.

A sample of Reports No. 7 and 8, Pre and Post Closing Trial Balances, is shown in 7962 Illustrations 1 and Illustration 2.

7962 Illustration 1

(Revised 03/02)

 

Agency Name and Number

 

 

PRE-CLOSING TRIAL BALANCE - REPORT NO. 7

 

 

Fund Name and Number

 

 

As of June 30, 20__

 

 

 

 

ACCT NO.

ACCOUNT TITLE

DEBITS

CREDITS

 

 

1110

General Cash - CTS Accounts

215,599.78

 

 

 

1130

Revolving Fund Cash

79,799.46

 

 

 

1190

Cash on Hand

2,850.00

 

 

 

1311

AR - Abatements

10,311.29

 

 

 

1312

AR - Reimbursements

105,666.78

 

 

 

1315

AR - Dishonored Checks

2,364.00

 

 

 

1319

AR - Other

94,500.52

 

 

 

1380

Contingent Receivables

383,091.67

 

 

 

1410.0014

Due From Hazardous Waste Control Acct

1,843,538.16

 

 

 

1420

Due From Other Appropriations

11,278,371.13

 

 

 

1590

Due From Other Governmental Entities

216,978.22

 

 

 

1600.01315

Provision For Deferred - Dishonored Cks

 

2,364.00

 

 

1600.01319

Provision For Deferred AR Other

 

94,500.52

 

 

1600.01380

Provision For Deferred - Contingent Receivables

 

383,091.67

 

 

1710

Expense Advances

17,000.00

 

 

 

3010

Accounts Payable

 

1,908,340.81

 

 

3020

Claims Filed

 

1,567,760.00

 

 

3114.0044

Due to Motor Vehicles Acct

 

273,951.93

 

 

3115

Due to Other Appropriations

 

11,281,639.16

 

 

3210

Due to Federal Government

 

132,561.66

 

 

3220

Due to Local Government

 

94,686.90

 

 

3290

Due to Other Governmental Entities

 

151,499.03

 

 

3400

Advance Collections

 

34,851.21

 

 

3730

Uncleared Collections

 

119,850.41

 

 

5570

Fund Balance - Clearing Account

 

37,219,440.96

 

 

8000

Revenue

 

45,314.50

 

 

8100

Reimbursements

 

5,974,840.19

 

 

9000

Appropriated Expenses

44,984,070.61

 

 

 

9891

Refunds to Reverted Appropriations

 

4,893.35

 

 

9893

Prior Year Appropriations Adjustment

55,444.68

 

 

 

 

 

59,289,586.30

59,289,586.30

 

 

 

 

 

 

 

 

 

 

 

 

 

 

I certify (or declare) under penalty of perjury that the foregoing is true and correct and that
I have not violated any of the provisions of Article 4, Chapter 1, Division 4, Title 1,
Government Code (commencing with Section 1090).

 

 

 

 

 

 

 

 

 

 

 

 

Subscribed and executed this ____day of__________,20__ at________________,

 

 

 

California.

 

 

 

 

 

 

 

 

 

 

 

 

 

Signature of Officer

 

 

Type or print name of Officer

 

 

Title of Officer

 

 

 

 

 

 

 

 

 

 

 

7962 Illustration 2

(Revised 03/02)

 

Agency Name and Number

 

 

POST-CLOSING TRIAL BALANCE - REPORT NO. 8

 

 

Fund Name and Number

 

 

As of June 30, 20__

 

 

 

 

ACCT NO.

ACCOUNT TITLE

DEBITS

CREDITS

 

 

 

 

 

 

 

 

1110

General Cash - CTS Accounts

215,599.78

 

 

 

1130

Revolving Fund Cash

79,799.46

 

 

 

1190

Cash on Hand

2,850.00

 

 

 

1311

AR - Abatements

10,311.29

 

 

 

1312

AR - Reimbursements

105,666.78

 

 

 

1315

AR - Dishonored Checks

2,364.00

 

 

 

1319

AR - Other

94,500.52

 

 

 

1380

Contingent Receivables

383,091.67

 

 

 

1410.0014

Due From Hazardous Waste Control Acct

1,843,538.16

 

 

 

1420

Due From Other Appropriations

11,278,371.13

 

 

 

1590

Due From Other Governmental Entities

216,978.22

 

 

 

1600.01315

Provision For Deferred - Dishonored Checks

 

2,364.00

 

 

1600.01319

Provision For Deferred AR Other

 

94,500.52

 

 

1600.01380

Provision For Deferred - Contingent Receivables

 

383,091.67

 

 

1710

Expense Advances

17,000.00

 

 

 

3010

Accounts Payable

 

1,908,340.81

 

 

3020

Claims Filed

 

1,567,760.00

 

 

3114.0044

Due to Motor Vehicles Acct

 

273,951.93

 

 

3115

Due to Other Appropriations

 

11,281,639.16

 

 

3210

Due to Federal Government

 

132,561.66

 

 

3220

Due to Local Government

 

94,686.90

 

 

3290

Due to Other Governmental Entities

 

151,499.03

 

 

3400

Advance Collections

 

34,851.21

 

 

3730

Uncleared Collections

 

119,850.41

 

 

5570

Fund Balance - Clearing Account

1,795,026.29

 

 

 

 

 

16,045,097.30

16,045,097.30

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

I certify (or declare) under penalty of perjury that the foregoing is true and correct and that
I have not violated any of the provisions of Article 4, Chapter 1, Division 4, Title 1,
Government Code (commencing with Section 1090).

 

 

 

 

 

 

 

 

 

 

 

 

Subscribed and executed this ____day of__________,20__ at________________,

 

 

 

California.

 

 

 

 

 

 

 

 

 

 

 

 

 

Signature of Officer

 

 

Type or print name of Officer

 

 

Title of Officer

 

 

 

 

 

 

 

 

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