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The Sub-Fund Group document defines the type, purpose or source of funds that are found in that account. Sub-fund group may be used for reporting purposes and for business rules on OLE e-docs.
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The Sub-Fund Group document includes the Edit Sub-Fund Group tab. The system automatically enters data into both the Old and New sections. Selected data fields are available for editing.
Edit Sub-Fund Group tab definition
| Title | Description | 
| Sub-Fund Group Code | The unique code that identifies a particular sub-fund group. | 
| Description | Required. The descriptive name for this sub-fund group code. | 
| Fund Group Code | Required. The larger fund group to which
                                    the sub-fund group is associated. Existing fund group codes may
                                    be retrieved from the lookup  | 
| Active Indicator | Indicates whether this sub fund group code is active or inactive. Remove the check mark to deactivate this code. | 
| Sub Fund Group Type Code | Required. A code that identifies the
                                    sub-fund group type. Existing types may be retrieved from the
                                    list or from the lookup  | 
| Default Account Restricted Status Code | A unique code that identifies a particular
                                    restricted status for the default account. Existing restricted
                                    status codes may be retrieved from the list or from the lookup  | 
| Financial Reporting Sort Code | Required. A code that designates the default sort sequence on reports. | 
| Wage Indicator | The box checked when the sub-fund group is one that is expected to pay compensation expenses. | 
| Budget Adjustment Restriction Code | Required. The code that determines at what level OLE checks for restrictions when an account of the sub-fund group is used on a Budget Adjustment e-doc from the budget adjustment restriction code list. Values retrievable from the list include: N = None S = Sub-Fund C = Chart O = Organization A = Account | 



