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Extension Operations

Ohio State University Extension


Local Checking Monthly Reporting

Reporting Checking Account Balances, Expenses and Income

Offices with checking accounts are to report the previous month's bank statement information: begin balance, total of all expenses and total of all income from that statement, ending balance along with the end date and to confirm that this matches with your records. As part of the new monthly reporting process required by the University for Workday, complete the form below by the 3rd Monday of each month and upload the bank statement in the ***OneDrive folder for your county.

Important that you check your figures before submitting, as we will use your monthly net income/expense to update our total cash balance for local checking accounts on the University's general ledger.

Very important that all counties are timely in reporting and have the information submitted before the 3rd Monday of each month.

***OneDrive: access OneDrive online - type in in your browser, log into MS Office 365 and then click on the 9 dots (App Launcher) and choose the blue cloud OneDrive, open SHARED to find the XXX Co Bank Statements folder. Please save your bank statement files as county_month_year =Adams_January_2022 - Please do not include OSU Extension or county in the file name.


If the 12-month average balance is over $20K a check needs sent to Columbus for deposit in the Miscellaneous Fund.

Extension policy requires that bank balances be less than ANNUAL average of $20,000.00. IF the annual average amount is greater than $20,000, deposit money into your University Miscellaneous Designated Fund. Write the check to The Ohio State University, send with the OSU Extension Deposit Transmittal Form to Dawnn Brown (address on the form).

Deposit using RC1186 for Revenue Category, the description "Reduce local checking account balance". 


OSU Extension ________________ County/Office (Just the County name, no need to repeat what is already typed here.)

Always include CC and BL when entering Cost Center and Balancing Unit #s

1 Start 2 Complete
type one-word county/office name- the rest is provided!
Please include CC
Please include BL
Only the total of expenses that show on the previous month statement- DO count any bank fees. Do not count outstanding checks. Do not enter $ sign. Enter a 0 if none. Do NOT use + or - signs.
Only count the income that shows on the previous month statement- DO count Interest. Do not count any outstanding deposits. Do not enter $ sign. Enter a 0 if none. Do NOT use + or - signs.
Ending date on previous month's bank statement.
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