Journal Source Codes

Source Codes identify the purpose of PeopleSoft journals. They are also a selection criterion for reporting in the MyReports Transaction Detail Report. Some source codes are limited to PeopleSoft Journal Preparers who are assigned a specific PeopleSoft role to use the source code. Several source codes have additional approval workflow connected with them.

Online Financial Journals

Campus Departments and Controller’s Office

Source Description Comments
320 Cash Receipt Routed to preparer’s assigned approver
323 Credit Card Receipts Routed to preparer’s assigned approver
535 Financial Journal Additional workflow to route plant, unexpended balance, and year-end transactions to Control Point approvers and Controller's Office approvers
53O SFA Offset Routed to preparer’s assigned approver
545 Cost Transfer - Direct Additional approval workflow for late cost transfers
547 Cost Transfer Payroll Exception Additional approval workflow for late cost transfers approver(s)
555 Recharge – Direct Requires approved Recharge Project ID; routed to preparer’s assigned approver

School of Medicine Restricted Source Codes

Source Description Comments
53A Purchased Service Agreements Routed to preparer’s assigned approver
53B MC - Self Balancing Journal Routed to preparer’s assigned approver
53D Fin Jrnl - SOM Dean's Support Routed to preparer’s assigned approver
53P MC-PSA Routed to preparer’s assigned approver
53S MC-Strategic Support

Controller’s Office Restricted Source Codes

Source Description Comments
532 Foundation STIP Prepared by Foundation Accounting; routed to preparer’s assigned approver
570 Inter Campus Transfer Routed to preparer’s assigned approver
573 Inter Campus Response Routed to preparer’s assigned approver
574 Inter Campus-O.P. Manual Entry Routed to preparer’s assigned approver

Sub-System and Automated Financial Journals

Source Description Comments
326 AR Cash Journal RAS and Dept A/R (Sundry Debtor) - Cash deposit entry
426 Accounts Payable - Auto A/P - expenses
516 AR Transaction RAS - Billing entry/cash application
517 Sundry Debtor Transaction-Auto Sundry Debtor - Record billing/cash application
518 STDT Accounts Receivables Student A/R - Record accounts receivable
533 Contracts RAS - Revenue Recognition
536 Payroll Entry - Auto Payroll – salaries and benefits
537 Overhead Recovery - Auto RAS - F&A expense journal
538 STIP - Auto Entry STIP Process journals
53E Asset Management Activity A/M - asset additions & adjustments; YE CAP Expense Elimination
53M Financial Journal - Med Center Medical Center journals
566 Financial Journal - Auto GAL; Gift expenditure fee
576 Inter Campus - O.P. Auto UCOP Interface
625 Lien Journal – Direct Clear lien balance (ORG_ENC ledger)

Budget Journals

Source Description Comments
135 Spon Proj Bud (Dept) Department use only
136 Spon Proj Bud (CGA) CGA use only to allocate original and continuation budget authorizations
137 Spon Proj Bud Carryforward (CGA) CGA use only to allocate carryforward budgets
138 Spon Proj Bud Other (CGA) CGA use only to allocate budget for additional sponsored funding generated by STIP, exchange rate increases/decreases, stock gains/losses, and other miscellaneous adjustments

Recharge Journals

The following automated recharge journals are assigned unique source codes to enable them to correct suspense journals with invalid chartfields.

Source Description Dept ID Department Name
556 Recharge – Auto N/A N/A
5A0 Recharge 638 412343 F_Fin Pro MDS Gas and Alcohol
5A1 Recharge 607 412402 F_CLS DM Prod Core
5A2 Recharge 626 138342 M_MED-DPSC-CORE
5A3 Recharge 627 138342 M_MED-DPSC-CORE
5A4 Recharge 628 138342 M_MED-DPSC-CORE
5A5 MYCORES Recharge 470054 E_RRP Admin
5A8 Recharge 635/6 412346 F_Fin Pro MDS Surplus Sales
5AB Recharge 640 411124 F_ITS Voice Network
5AC Recharge 641 112103 M_EpiBio-Admin-Core-Bus
5AD Recharge 642 112103 M_EpiBio-Admin-Core-Bus
5AE Recharge 644 482201 E_GHS - Central Admin
5AF Recharge 646 470045 E_LARC Operations
5AG Recharge EHS4780 470047 E_EH&S Operations
5AH Recharge EHS4781 470047 E_EH&S Operations
5AI Recharge EHS4782 470047 E_EH&S Operations
5AJ Recharge 663 412301 F_CLS Rtl Stores
5AK Recharge 5AK 412363 F_CLS TS Transp Svcs
5AL Recharge 680 472090 E_Ed Tech Srvcs Ops
5AM Recharge 681 410098 F_HR Int Staff Clerical Pool
5AN Comptng/Comm Device Sup 411103 F_ITS Business Ops Admin
5AO Recharge 683 409059 F_PD We ID
5AP Recharge UPD 410089 F_HR LD Ops
5AQ Recharge 685 771001 HOSPITAL PHARMACY
5AR Recharge 693 412294 F_CLS AE Bear Hugs and Tickets
5AS Recharge 695 412338 F_Fin Pro MDS Mail Incoming
5AT Recharge 696 138325 M_MED-ADMIN-CORE-IT
5AU Recharge 6221002 409069 F_PD Security Svcs Core
5AW Recharge CCF 470054 E_RRP Admin
5AX Recharge 625FM01 412162 F_FS Clearing
5AZ Recharge PMG0001 412352 F_CLS TS Parking Enforcement
5B1 Recharge PMG0002 412352 F_CLS TS Parking Enforcement
5B2 Recharge DATAREC 411125 F_ITS Data Network
5B3 Recharge 682 410100 F_HR Residents Fellows
5B4 Recharge 699 109047 M_PT-Central Admin
Source Description Dept ID Department Name
5B5 Recharge 607 412336 F_CLS DM Print Mgmt
5B6 Recharge 703 412301 F_CLS Rtl Stores
5B8 Central Data Center Services 411103 F_ITS Business Ops Admin