Every month, the Financial Analyst Team generates a report of all non-payroll direct expenditures for all CGS-supported accounts.
That report is then reviewed against associated documentation stored in Concur, SAP, ECM, etc. for UK standards and allowability.
If a transaction needs further review, a CGS leadership committee meets weekly and determines if the transaction needs more information, stays as is, or goes through the non-compliant process.
If a transaction is deemed non-compliant, it will be removed to the responsible unit indirect overrun account and an email will be sent outlining the reason for the removal.
The supervisor of the Financial Analyst Team signs the full report and stores it on Sharepoint for unit staff to access. Departments can view finalized monthly Line Item Detail reports here.