1.
Suppliers
1.i
There is more than
one account for the same supplier, which one do I choose?
Check
the supplier site addresses and choose the supplier whose site address matches
your invoice address. If none of them match your invoice then ask DP section to
create a new site. If all the supplier accounts have the same site addresses
then choose the Supplier with the lowest number. We are in the process of
merging all the multiple accounts into one.
1.ii
I cannot find a
supplier or an employee on the database
Please
send details of the supplier or employee to DP section. Minimum details
required are as follows:
·
Name and full address
·
If an individual
please confirm if the person is an employee or not
·
Standard forms for
full supplier set-up can be obtained from DP section.
2.
Batch Headers
2.i
How to print batch
headers
·
Select the batch
header you want to print by clicking on Query, and Find. Then enter the batch
number you require and click on the Find button
The
system brings up the batch details
·
Confirm that you have
the right folder open ie UCL BATCH HEADER
·
Click on the Action
menu and then click Print
·
A copy of the batch
header would be printed on your printer
2.ii
Can I adjust or delete batch header details?
·
You can add invoices
to a batch at any time
·
You can change the
invoice type on the batch header after entering invoices against a batch and
the new invoice type will default onto new invoices entered after the change.
Changing the batch header does not affect invoices entered before the change
·
You can delete an
invoice from a batch at any time before the invoice has been approved. See 5.i
·
You cannot delete an
invoice batch that contains invoices. If you want to delete an invoice batch,
you must delete the invoices in the batch first. See 5.i
3.
Grant related Invoice Distributions
3.i
I am unable to
post an expense claim to a grant
Please
check that you have used the standard invoice type and not expense report type.
If you have used the wrong invoice type then you would have to delete the
invoice and re-enter the invoice. See 5.i
3.ii
I am unable to
enter a grant distribution against a 6P … expenditure type because the system
is requesting for a valid quantity
Please
enter the expenditure amount in the quantity field.
3.iii
I wish to enter a
distribution against a grant code but the system is requesting for an
expenditure Item date
In this
case you are trying to enter an expense against a completed grant. Please
confirm the completion date of the grant and enter a date on or before the
grant completion date. You can confirm the date as follows:
·
Select the grant field
·
Click on the picklist
button on the toolbar or press CTRL+F11
·
Enter the grant code
and click the Find button
The
system would then bring up brief details about the grant.
·
Scroll to the right to
view the grant completion date.
3.iv
I have entered my
distributions against grant codes and the system generated account codes are
different from the grant codes that I entered?
The
grants were set-up to map to control accounts in the general ledger. The
account codes for these control accounts are different from the grant codes
that you have entered. See further details on COA Philosophy document on the
NewFis website
4.
VAT Distributions
4.i
How do I confirm
that the VAT amount is correct before the first level approval process is run?
After
entering all your distribution lines,
·
Select Special on the
menu options at the top of the window.
·
Choose Generate VAT
distributions. The system then comes up with a note indicating that VAT is
being calculated, click OK on the box and wait for the system to complete the
process by bringing up the VAT lines and updating the distribution total.
·
Check that your
Invoice total agree with the distribution total, if not then make the necessary
changes as described in section 4.ii below.
4.ii
System calculated
VAT amount does not agree with the invoice VAT amount due to rounding
differences or insignificant arithmetical errors on Supplier invoices
Manually
change the system calculated VAT amount on the VAT distribution line to agree
with the invoice VAT amount.
4.iii
Most of our
expenses are VAT recoverable, and I am not sure of the VAT codes to use
Recoverability
is now defined at the account code level. The code to enter is the one that
corresponds with the VAT rate on your invoice. Please find further details on
the VAT overview document on the Newfis website.
5.
Adjusting and deleting invoices and invoice distributions
5.i.i
If invoice is
unapproved (first level approval has not been done)
·
Ensure that you are on
the invoices window and the cursor is on the invoice line that you wish to
delete
·
Click on the red X button
on your toolbar
·
Click OK on the delete
message box.
·
Once the deletion is
completed save your work.
5.i.ii
If invoice is
approved ie after 1st or secondary level approval
An
approved Invoice cannot be deleted because funds have already been committed against
the invoice during the approval process. However, the system would allow you to
cancel the invoice.
5.ii
How do I cancel an
invoice that has been approved?
·
Navigate to the
invoices window
·
Select the invoice to
be cancelled. Please note that if you wish to re-enter the invoice it is
advised that you add A to the number of the invoice to be cancelled and then
re-enter the invoice with the number as written on the Supplier invoice. This
is necessary because the system would not allow you to enter the same number
twice for the same supplier.
·
On your invoices
screen, click on the Actions..1 button and this brings up the Actions wndow.
·
On the Actions window
click on the Cancel Invoice check box
·
Click OK and click OK
to the messages that come up during the cancellation process.
·
Once the process have
been completed save your work
5.iii
I have entered an
expense claim with the wrong invoice type, how do I correct this error
Delete
the invoice and re-enter it with the standard invoice type.
5.iv
I How can I amend
input errors on my distribution window
·
Before approval
Purchase order matched distributions cannot be adjusted but
can be reversed and the correcting entries entered on a new distribution line.
Distribution
details that are not generated from purchase orders can be changed or deleted
before the first level approval stage. Follow the procedure for adjusting
invoices and remember to save your work .
·
After first Level
Approval
Distributions
cannot be amended or deleted once they have been approved. The system would
only allow you to reverse the entries by clicking on the Reverse …1 button.
6.
Invoice Approval
6.i
After running the batch approval process, how do I confirm
that all the invoices in the batch have been approved?
·
The batch approval
process normally takes a few minutes to run. The time it takes depend on the
number of entries in the batch and how busy the system is. Please wait a few
minutes before checking that all the invoices in your batch have been approved.
·
After waiting for a
few minutes you may open the invoices window of the batch and click on Query,
then Run. This refreshes the screen and you may then check if your invoices
have been approved by reviewing the holds placed on them.
·
Another alternative is
to view your requests by carrying out the following:
i.
Click on the help menu
and select View My Request and the Find request window comes up.
ii.
Click on the Find
button and this takes you to the Requests window.
iii.
On the Requests window
click on the refresh data button and the system would bring up all your
outstanding requests and show the status of your requests ie whether it is
pending, running or completed. If not completed click refresh again after a few
minutes and click again until completed.
·
If you process large
volumes of batches then it is advisable to print the Invoice on Hold report
once or twice a day instead of checking batches individually. See page 45 of your AP training
documentation for guidance on how to print reports.
6.ii
I have approved my
invoices but don't know where they have gone for secondary approval?
Invoices
are automatically available for all authorised signatories in your Department
once the First Level approval is carried out. You do not need to send them to anyone
for approval.
6.iii
An invoice was not
approved in my batch of 10 invoices. Does this stop the rest from being
processed further?
No
7.
General advice
7.i
It is advisable that
you print out or review the Invoice on Hold Report at the end of every day to
ensure that all your invoices were successfully entered.
7.ii
You may approve more
than one batch at a time. To do this
·
Navigate to the
Invoice batches window
·
Press the SHIFT key
and then click on the invoice batches that you wish to approve. The batches
would become highlighted in blue and the Approve button would indicate the
number of batches that you have highlighted
·
Lift your finger off
the shift key and then click on the approve button
The
system would ask you to confirm the number of batches to be approved.
·
Click OK
7.iii
The on screen 'help'
is very useful and provides the following information:
·
Window help: topics
relating to the window you are working on
·
Keyboard help : A list
of keyboard shortcuts
·
View My Request :
Confirm the status of your requests
·
About this
Record: Details of who created a record
and when it was created
The Invoice
document is used to bill the Buyer for services and/or products delivered by
the Seller.
Credit is
the means by which we are able to obtain immediate benefit of goods or services
upon the promise of payment at a future date.
Credit memo: When you want to
adjust an invoice, document issued by the vendor to record an adjustment
against an invoice.
Description
|
The supplier presents to the customer for the ordered or
delivered, received or consumed goods or services a detailed invoice. The customer disputes the invoice and works
with supplier to resolve issue. If any
discrepancy is found, the customer shall start the process to treat incorrect
invoices. Once Supplier and Customer
agree upon the nature of the dispute, Supplier issues a credit memo to
correct the problem. Buyer receives
credit memo, reconciles with order and contract information and issues
payment.
Negative = Credit
Positive = Debit
|
Verify its correctness.
- Note the reason for the credit if it is not clear on the credit memo itself
- Indicate the account and center where the credit should be applied.
- Forward all credits to Accounts Payable immediately so that the credit can be applied to your cost center and deducted from the next payment to the vendor. DO NOT HOLD CREDITS IN THE DEPARTMENT FOR ANY REASON.
- Accounts Payable will apply the credit against any open invoices in the system.
- Make a copy for your records.
Debit memo: Negative amount invoice created by us and sent
to supplier to notifying him about the credit we are recording.
AP is divided in to 2 workbenches.
Invoice workbench
Payable workbench
We usually enter supplier invoice
either in Invoice workbench or quick invoice window.
Invoice workbench:
Contains:
·
Invoice Batch window
·
Invoice window
·
Distribution window
·
Other associated
windows
When to use:
·
Incase of complex
invoices or invoices that requires online validation.
·
When an invoice
requires immediate action.
Quick invoice window:
·
Used for quick high
volume invoice entry for invoices that don’t requires extensive validation.
After entry just import into
payable system, validation and defaulting will occur during import.
For more see page 342 of Oracle
payables.pdf
Invoice distribution:
It allocates total invoice
allowance to various expense or asset accounts.
Expanse Reports:
Invoice Creation:
Invoice Distributions:
Account: Company have different
COA so follow that hierarchy for each set of item.
Accounting Date: Date when we are
planning to post it to GL ie. GL Date.
Payments:
Record: Manual
payments(checks,wire) which are made out of OP and they will be recorded in Op
and update the invoice for which you have paid.
Computer Generated:
Combined:
Payment:
Lookup:
It is a predefined values used as a LOV. In some fields we select a value from
a predefined set of values, In some cases we have defined them in the setup
windows such as supplier name,payment terms or tax codes. Other predefined set
of values are Lookup codes.
Lookup Categoryè Lookup type ex. Invoice type
Allowed
values are called Lookup names. Ex. Standard, Debit memo, Credit ,memo,
Prepayment.
For a
lookup type we can define upto 250 Lookup names.
Navigation:
SetupèLookups
For
more details see Developer’s Guide pg. 58.
Distribution
Sets:
It is a
predefined set of distribution for a repeated or a same set of distribution
form a supplier. We can either link it to supplier site or we can link it to
the invoice.
There
are 2 types of distribution sets.
Full
Distribution Sets: We will define %
amount of the invoice to each distribution line and sum of all lines must be
either 0 or 100. We can enter –ve % values.
Skeleton
Distribution Sets: Leave the % field as 0 so that at the time of invoice
creation you ca enter amount in different distribution lines.
For
more details see Developer’s Guide pg. 63.
Purchase document:
Use Bank window to define
internal bank branch from which you disburse payments. For each bank account we
can define payment document for check, EFT, EDI or wire transfer and other
payment methods.
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