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Home Forms Instructions For Completing Notice of Account Close-Out Form

Instructions For Completing Notice of Account Close-Out Form
(CG-01-87)

The designated Administrative Assistant in the Office of Contracts and Grants is responsible for sending a close-out form to the college or unit business officer fifteen (15) days prior to the project's scheduled termination date.

The Office of Contracts and Grants completes the following items:

To: Name of business officer for college or unit responsible for responding to the close-out request.

Campus Box: Address of the business officer.

From: Fiscal manager in the Office of Contracts and Grants with cognizant responsibility for close-out.

Project Number: Number of account being closed.

Sponsor Name: Name of sponsor for project.

Lead PI Name: Name of lead Principle Investigator for project

Term Date: Project budget end date. Note: Expenditures associated with payroll earned and purchase orders (encumbrances) executed after this date cannot be charged to the account.

Deadline: Date the College Financial Reconciliation Report must be returned to the Office of Contracts and Grants. Note that all financial transactions must be processed in PeopleSoft by this date. The date is normally three weeks prior to the University's deadline for submission of the final financial report. Financial reporting will not be held if the close-out has not been returned.

The college, school, or division business officer or designee should complete the following items on the College Financial Reconciliation Report (CG-01-87):

Choose if this report is an Original Report or a Revised Report. If revised, add the number of revision.

Choose if this is a final report or an Interim/Annual report.

If there is an extension/continuation pending, check box. Attach a copy of relevant/recent supporting documentation from the Sponsor's Contracting official. Be sure this information is from the contracting official and not the technical representative. By not providing any financial information, the College/Department will assume all financial responsibility for expenditures incurred after the term date and need to initial to agree to cover the charges.

Total Direct Costs: Use date of most recent month end and Total Direct Costs per WOLF Report 5.

If Reconciling items (Trailing Expenses) exist, turn to page 2. (Page 2 only needs to be returned to the Office of Contracts and Grants if there are reconciling items).

Choose if this report is an Original Report or a Revised Report. If revised, add the number of revision.

Total Direct Costs: Use date of most recent month end and Total Direct Costs per WOLF Report 5.

List any item which will be processed in PeopleSoft before the close-out due date specified, that have not cleared as of the most recent month end WOLF Report 5. Include Reallocation Request #, Journal/Reference #, Account Code and Actual Dollar Amount (No rounding). If the charge will be added to the account, include this charge as a positive dollar amount. If this charge will be taken off of the account, include this charge has a negative amount. *Remember to include the 51891 charges for Salary Journals that post after the month end date.

Calculate the Net Sub Total by adding all Reconciling/Trailing Items.

Calculate the Total Final Direct Costs for the project by adding the starting Total Direct Costs most recent month end with the total Reconciling/Trailing expenses.

Transfer these amounts to page 1.

Contracts and Grants will calculate the F&A costs associated with the project, if there are any. College/Department should take this into account to ensure the project is not overspent after the addition of F&A.

All encumbrance must be cleared in the system by the Financial Reconciliation Report due date.

Certifications: Answer as to whether all expenses were incurred within the period of performance and as to whether all expenses have been reviewed for allowability/allocability. Answer as to whether subawards were executed against the parent project. If there were, has the final invoice been received? Make sure to forward copies of applicable Patents and/or Invention reports from the subcontractor to the office of Contracts and Grants. Answer as to whether the technical report has been completed and mailed to the sponsor. This may not be applicable if there is no sponsored technical report requirement. If the report has not been mailed, this will not hold up financial reporting but could potentially hold up final payment.

Equipment: Answer as to whether there was any sponsored-furnished equipment. If there is, attach a detailed inventory, which includes the University CAMS ID#, a description and fair-market value, and location on campus. Answer as to whether Fabricated equipment is present and that proper exemption has been given by Contracts and Grants.

Unused Supplies Inventory for Federal and Federal Flow Awards: List the total value of all unused supplies purchased with Federal funds and if there were supplies remaining, list the intended use for those supplies.

College/Unit Comments: Include any relevant comments that Contracts and Grants would need to know.

Principal Investigator's Signature: at the discretion of the College/Department to require this signature.

Completed By: *Required. The person in the department, school or unit delegated responsibility for completing and certifying the accuracy of the information provided for close-out, must sign, date and include their contact information.

Approved By: *Required. The person at the college level delegated responsibility for checking and certifying the accuracy of the information provided for close-out, must sign, date and include their contact information.

Instructions For Completing Cost Sharing Final Financial Report (CG-01-87A)


The designated Administrative Assistant in the Office of Contracts and Grants is responsible for preparing a Final Cost Sharing Report. The form will be sent to the college or unit business officer along with the College Financial Reconciliation Report.

Complete each line by cost category for the amount of verifiable, documented, total project-to-date cost sharing dollars expended from funding sources other than the project account.

Attach supporting documentation for Effort - including TEARS reports and any After-the-fact memos, Subcontractor's cost sharing - statements of cost shared dollars on official letterhead and/or official statements included on invoices requesting reimbursement, and Third Party/Other - statements of cost shared dollars on official letterhead and/or official statements included on invoices requesting reimbursement.

The person at the department, school, or unit delegated responsibility for completing and certifying the accuracy of the information provided for close-out must sign and date the report.

The F&A component will be completed by Contracts and Grants, but may need to be taken into account to meet cost share obligations.

The Office of Contracts and Grants completes the following:

Calculate/complete the F&A cost based on the awarded base on the Final Total Direct Costs.

Calculate/complete the F&A cost on Cost Sharing if F&A is needed and allowable.

06/2005