Attachment C
AD NOAT 07-207
(Revision of AD NOAT 07-206) Attachment C
THE CALIFORNIA STATE UNIVERSITY PARKING PROGRAM
2007/08 Centrally Paid Indirect Costs
(REVISED on 11/7/07 - Revision affects Second, Third and Fourth Quarters Transfers)
               
    State Prorata State Prorata Total 2007/08  2005/06    
  Chancellor's (Health Benefit (Admin. Indirect Cost Adjustment Total 2007/08 Quarterly
  Office Portion) Portion) Allocation Factor Amount Amount*
                 
               
Sacramento**                       37,532                  63,423                   9,338                    110,293                    (1,144)                     109,149                   27,287.25
Sonoma**                       37,532                  29,353                   9,338                       76,223                        (298)                       75,925                   18,981.25
               
                 
    75,064 92,776 18,676 186,516                    (1,442) 185,074 46,268.50
                 
Campus Journal Entry Required (FIRMS):          
Debit           Overhead Charges 660025
Credit           Fund Balance Clearing 305022
Chancellor's Office Journal Entry Required (FIRMS):          
Debit           Cash in State Treasury 101004
Credit           Indirect cost reimbursement 505202
*Transfers to occur September 15, November 15, February 15 and May 15. Should your program desire to use the "old" Revenue Fund (#580) instead of
Trust Fund (#948) as a source of payment, please contact and coordinate with Brian Lee at (562) 951-4399 30 days prior to each transfer date.
**Refer to coded memo FT 07-09 for centrally paid direct parking program costs, which has different transfer dates.