ACCOUNTS
PAYABLE
INVOICE
1. SUPPLIER CREATION
Name – supplier Name
organisation – Type
Address – supplier site
Accounting – liability & prepaymetn
account
Purchasing – Purchasing tab ( Ship to
& Bill to Location), Self Billing tab ( Pay on & Invoice summary level)
Receiving – Receipt Routing & match
option
Payment Details – payment Method.
2.ITEM CREATION
Item Name
copy Template ( Purchase Item)
Assign Organisation
Check in Purchasing Tab – expense account to
be changed
Check in order management Tab – It is
returnable or not.
3.
PAYABLE OPTION
Accounting
Option – payment Accounting, Accounting offset method, Discount
method,Interest, Prepayment Account.
Currency –
Realised Gain & Loss Account and Rounding Off account.
Tax Reporting
Invoice –
Allow online Validation, document category override, adjustemt to paid
invoice,
GL date basis – System date.
Approval
Matching
Interest –
Enable Allow Interest invoice, Interst Invoice Account ( Expense &
Liability)
Expense Report
– Enable Employee as supplier
Payment –
Allow Pre date, Void & Reissue, Document category override.
Supplier –
Invoice Currency ,Term date basis, payment Terms
Report
4.
FINANCIAL OPTION
Accounting –
GL Accounts ( Liability, Prepayment,bills payable,discount taken,PO rate
variance Gain & Loss)
Supplier –
purchasing – Link IMO & Ship to Bill to Location.
Encumbrance –
Use Requition, P.O. & Reserve at completion ( Only For Budget)
Human Resource
– Link B.G. & Expense Reimbursement Add. Employee Number(Auto)
5. PAYABLE SYSTEM SETUP
Supplier
Supplier
Number – Automatic & manual
Control –
Invoice Match Option ( Receipt & P.O.)
payment –
Invoice Currency, pay group, Term Date basis, pay date basis, payment Term
Enable 'Create
interest invoice' If needed.
6. PURCHASING OPTION
Enforce full
lot quantity – (advisory, mandatory & none)
Receipt close
point – (Accepted, Delivered & Receipt)
match Approval
level – 2,3 & 4 way
Receipt
Accounting – Expense AP Accural Account ( Defaults from Payable Option)
Document
Numbering(Numeric & Alpha Numeric) - ( RFQ, Quotation, P.O. &
Requisition ) Automatic & manual.
7. RECEIVING OPTION
Receipt Days –
Early & Late
Over Receipt
Tolerance
Next Receipt
number
Receipt
Routing – Direct Delivery,Standard Receipt & Inspection Required.
Accounting –
Receiving Inventory Account & Claering Account.
8.ERS SETUPS
Payment Method
Liability
account
Payment term
Invoice
Summary Level
Pay on
Receipt..
PAYMENT
MANAGER(BATCH PAYMENT) SETUPS
1. Create
Template
2. Schedule
Selection Criteria
1.
Name
2.
No. of pay from days - 0
3.
Add. Pay through days - 0
3. Payment
Attributes
Ø Exchange Rate – Corporate, User & Spot
4. Process
Automation
Ø Enable Stop Process for Review
Ø Enable Stop Process After creation of proposed payment
5. Validation
Failure Results
Ø Documents – Reject all documents for payee when any Documents fails
Ø Payments – Reject only payments with Errors
6. Addtional
Information
7. Create
Payment Process Request
Ø Payment Process Request Name
Ø Schedule Selection Criteria
Ø Name
Ø No. of pay from days - 0
Ø Add. Pay through days – Current Date
Ø Payee – Supplier Name
8. Payment
Attributes
Ø Payment Date
Ø Disbursement Bank Account
Ø Payment Document
Ø Payment Process Profile
Note: All
other are defined in Template
Ø Payment instruction
Ø Payment
EXPENSE
REPORT
1. Create
Expense Report Template
Ø Template Name
Ø Expenses Item
Ø Expense Category
Ø Tax Code
Ø G.L.Account
2. Expense
Report
Ø Name ( Employee)
Ø G.L.Account
Ø Invoice No.
Ø Currency
Ø Date
Ø Amount
Ø Apply Advances
2.1 Accounting
Ø Item – Amount – G.L.Account
ACCOUNTS
RECEIVABLE
1.
AR SETUPS
1. Transaction Type –
Ø Invoice Class( Deposit, Invoice,C.M. , D.M.,B.R.,Guarantee,Chargeback)
Ø Transaction Status (Open,
Closed,Void & Pending),
Ø Application Rule Set(Line First–Tax After,Line first–tax Prorate, prorate
All)
Ø Accounts ( Receivable,
Revenue,Unbilled Receivable, tax, Freight,clearing & Unearned Revenue Account)
2. Transaction
Source
Ø Batch Source
Ø Type – Manual & Imported
Ø Automatic Transaction Numbering ( Enter last Number)
Ø Copy Document Number to transaction No. (Instead of Doc Seq.)
Ø Attach the invoice transaction type
( If
Automactic)
Ø Auto Invoice option
Ø Allow Sales Credit
Ø Customer info ( Change Values into ID)
Ø Accounting Info (Change Values into ID)
Ø Other Info(Change Values into ID)
Ø Sales Credit Validation ( Change Values into ID)
3. Auto
Accounting Rule – Sales Rep, Site, Standard memo Lines & Transation Type
4. Invoicing
Rule – Bills in Arrear & Advance
5. Grouping
Rule
6. System
option
Ø Accounting
Ø Reliased Gain & Loss Account
Ø Tax Account
Ø Enable Automatic journal Import
Ø Trans and Customer
Ø Allow Transaction Deletion
Ø Alow payment for unrelated transaction
Ø Enable Automatic Customer Numbering
Ø Document number generation Level – (None, When Saved & Completed)
Ø Attach the Grouping Rule
Ø Claims
Ø Miscellaneous
Ø Write – off Limit
Ø Allow unearned Discount
Ø Discount on partial payment
ORDER
MANAGEMENT SETUPS
1.Order Header
Ø Sales Document Type – Sales order & Agreement
Ø Order category – Order, Mixed & Return
Ø Transaction Type Code – Order & Line
Ø Fulfillment Flow - Order Flow –
Generic
Ø Negotiation Flow – Nogotiation Flow – Generic
Ø Default Transaction phase – Fulfillment
Ø Main
Ø Attach price List
Ø Shipping
Ø Warehouse
Ø Scheduling Level – Allow all scheduling Action
Ø Enable Auto Schedule & Fulfillment set.
Ø Finance
Ø Invoicing Rule
Ø Accounting Rule – (Immediate, Monthly,Quarterly, halferly & yearly
Billing)
Ø Invoice Source – Attach the
created Transaction Source
Ø Receivable transaction type – Attach the created inv Trasaction type
2.Create Order
Line.
Ø Assign Line flow in Order header
Ø Line type – Created Order line
Ø Process name
Ø Line Flow – Generic (normal)
Ø Line Flow – Standard Service ( Service)
Ø Line Flow – Generic Bill only ( Bill only)
Ø Line Flow – Return for credit with Receipts (Return)
A.R.
RECEIPT SETUPS
1.Receipt
Class
Ø cash & Cheque
Ø Creation Method – Automatic, Manual, Bills Receivable, Bills Receivable
Remittance& AP AR Netting.
Ø Remittance Method – Standar , Factoring, Standard&Factoring, No
remittance
Ø Clearance Method – Directly, By Automatic Clearing, By matching
2.Receipt
Method
Ø Add your bank
Ø Receipt Write off setups
Ø Receivable Activity – Type ( Receipt Writeoff)
Ø Approval Limit
Ø System Option – Miscellaneous ( Receipt Write off limit)
Ø Adjustment Setups
Ø Receivable Activity – Type ( Adjustment)
Ø Approval Limit
Ø Miscellaneous Receipt ( Dividend & Other Income)
Ø Receivable Activity – Type (Miscellaneous Cash)
AP – AR
NETTING
1. Customer
and Supplier should same
2. Transaction
of AP & AR should be posted
3. Agreement
Between party & Organisation (Netting Agreement)
Ø Netting Agreement Name
Ø Start Date
Ø Netting Preferences
Ø Netting Bank Account (Netting Flag 'yes' in Netting bank Creation)
Ø Select only Past Due Reeivable Transaction – Yes / No
Ø Netting Order Rule - Due Date
(Oldest to Most Recent)
Ø Netting Balance Rule – Net Always
Ø Netting Currency Rule – Net within Each Currency
Ø Payable Invoice Type
Ø Credit & Debit Memo
Ø Standard
Ø Mixed
Ø Receivable Transaction Type
Ø invoice & Credit Memo Transaction Type
Ø Select Supplier
Ø Select Customer
4.Netting
Batch
Ø Batch Name
Ø Netting Agreement
Ø Transaction Due date – next day date
Ø Settlement Date – Current date
Ø Exchange Rate Type- Corporate , User & Spot
Ø Review Payable and Rceivable Transaction and Submit
RECEIPT WRITE OFF SETUPS
1.Receivable
Activity – Type- Write Off
2.Approval
Limit
3.System
Option – Miscellaneous – Receipt Write Off
ADJUSTMENT SETUPS
1.Receivable
Activity – Type - Adjustment
2.Approval
Limit
MISCELLANEAOUS RECEIPTS
1.Receivable
Activity – Type- Miscellaneous Cash
Unearned & Earned Discount
1.Payment Term
– Discount Tab -
2.Receivable
Activity – Type- unearned Discount
BANK
CREATION SETUPS
1. Bank
Ø Country
Ø Bank Name
Ø Address
2. Bank
Branches
Ø Country
Ø Bank Name
3. Branch Info
Ø Branch Name
Ø Branch Type – ABA, CHIPS, SWIFT & Others
Ø Address
4. Account
Creation
Ø Account Owner And use
Ø Bank Account Owner – Legal Entity
Ø Account use – payable, Receivable & payroll
Ø Account Information
Ø Account Name
Ø Account Number
Ø Currency ( Enable Multiple Currencies , If that bank use different Currencies)
Ø Account control
Ø General Controls
Ø Cash Account (G.L. Code)
Ø If it is Netting Bank (Enable Netting Bank As 'YES')
Ø Payable Controls
Ø Enable Multiple Currencies
Ø Enable Allow zero payments
Ø Receivable Controls
Ø Enable Multiple Currency receipts
Ø Account Access (Click Add Organization Access)
Ø Acount Use – payable & Receivable
Ø Organisation – Operating Unit
Ø Contact – Bank Contact Details
5. Manage
Payable Documents
Ø Document Name
Ø Paper Stock Type – Blank Stock & Prenumbered Stock
Ø Format – Standard Check Format
Ø First Available Document Number - 1st cheque Number
Ø Last Available Number – last Cheque Number
INDIA
LOCALIZATION
EXCISE AND VAT
SETUPS (P2P)
1. Org
Addtional Info ( With & Without site)
Ø Accounting Info - Excise and
CENVAT account code
Ø Tax Info - Excise, CST, Income Tax
& VAT Reg Details
Ø Preferences
Ø Allow Negative balance in PLA & RG Register
Ø Register Preference (RG23A , 23C, PLA)
Ø Allow tax change on Receipt
2. Supplier
Addtional Info (With & Without Site)
Ø Supplier Name & Vat No.
3. Create
Separate Statutory Authority for Excise & VAT as Supplier
4. Regime
Registrsation (VAT) – Accounting code picked from here
Ø Registration
Ø Primary Registration Number
Ø Same Inv No. For Excise & VAT
Ø Deafault Excise & VAT invoice details in VAT Claim
5. Tax Type
Ø Recovery A/c
Ø Interim Recovery A/c
Ø Liability A/c
Ø Interim Liability A/c.
6. Taxes
Ø VAT – Type (value Added Tax) , Percentage, Tax Account code.
Ø Excise – Type(Excise -Basic, Edu Cess, Sh Edu Cess), percentage, Tax
Code.
7. Tax
Category
Ø Assign the created tax with precedence (excise & VAT)
8.VAT Item
Classification
Ø Item/Tempalte – Item Attribute
Ø Regime – Value added Tax
Ø Organisation
Ø Item Name
Ø Attribute Registration
Ø Applicable – Yes/No
Ø Recoverable – Yes/No
Ø Item Class – Raw Material /Capital Goods
9. Excise Item
Classification
Ø Item/Tempalte – Item Attribute
Ø Regime – Excise
Ø Organisation
Ø Item Name
Ø Attribute Registration
Ø Tradable – Yes/No
Ø Item Class – Finished Goods india/ Export
Ø Modvatable – Yes/No
Ø Excisable – Yes/No
10. VAT Claim
Terms & Definition
Ø Term Name
Ø No. Of instalments
Ø Claim Interval – Immediate, Next Financial year,Next month, Next
Quarter,
Specified Month
Ø Claim Percentage
Ø Assignments
Ø Regime – Value Added Tax
Ø Item Class – Raw materials
EXCISE AND VAT
(O2C)
1. Customer
Addtional Info.
Ø Customer Name & VAT No.
2. Bond
Register
Ø Register Type – Bond Register, Domestic with Excise,Domestic Without
Excise,Export with Excise.
Ø Attach the Invoice Type And Order Type
3. VAT Item Classification
Ø Item/Tempalte – Item Attribute
Ø Regime – Value added Tax
Ø Organisation
Ø Item Name
Ø Attribute Registration
Ø Applicable – Yes/No
Ø Recoverable – Yes/No
Ø Item Class – Finished Goods
4. Excise Item
Classification
Ø Item/Tempalte – Item Attribute
Ø Regime – Excise
Ø Organisation
Ø Item Name
Ø Attribute Registration
Ø Tradable – Yes/No
Ø Item Class – Finished Goods india/ Export
Ø Modvatable – Yes/No
Ø Excisable – Yes/No
5. Excise
Numbering & Calendar ( Org Add. Info form)
Ø Transaction Type – Invoice, Order, Return to Vendor, Domestic, Export,RMA
Ø Attach the invoice/Order Type.
Ø Give prefix and starting no.
6. VAT
Sequencing
Ø Required If Regime Registration -if 'no' in Same Invoice No for Excise
and VAT Regimes.
Ø Attach the Order and invoice type and give Start No.
7. Sub
inventory Location
Ø Assign the subinventory to india localization
SERVICE TAX SETUPS
P2P
1. Org
Addtional Info ( With & Without site)
Ø Accounting Info - Service Tax Reg
Details
2. Supplier
Addtional Info (With & Without Site)
Ø Supplier Name & Service Tax Reg No.
Ø Service Type
3. Regime
Registration
Ø Registration
Ø Primary Registration Number
Ø Jurisdiction & Range
Ø Tax Type – Recovery A/c, Interim Recovery A/C,Liability A/c,Interim
Liability A/c
4. Tax
Ø Service Tax- Type (Service tax, Service Edu cess, Service tax SH EDU
Cess)
Ø Enter percentage
5. Tax Category
Ø Attach the created tax with
precedence
6. Create
Third party supplier for freight.
SERVICE TAX SETUPS (O2C)
1. Customer
Addtional Info.(With & Without Site)
Ø Servie Tax Reg No
Ø Service Type
2. Create
Service Order (Header & Line)
Ø Header - Assign line Flow.
Ø Process Name – Line Flow – Standard Service
3. Document
Sequence
Ø For Service Order type.
CUSTOMS (P2P)
1. Org
Addtional Info.
Ø Accounting info.
Ø BOE A/C & Write Off A/c
2. Create
Custom Authority
Ø Supplier Addtional Info.
3. Create BOE
Agent
Ø Agent Code
Ø Agent Name
4. Taxes
Ø Assesable value
Ø Basic Custom Duty
Ø CVD
Ø Edu Cess on CVD
Ø She Cess in CVD
Ø Custom Edu Cess
Ø Custom She Cess
Ø Addtional Custom Duty
Ø Assessable Value Reversal
5. Tax
Category
Ø Attach the Above taxes with precedence
TCS (O2C)
1. Create a Screap
Item – FG
2. Regime
Registration – TCS
3. Item
Classification
Ø Regime - TCS
4. Tax
Ø Basic Tcs
Ø Edu Cess on Tcs
Ø She Cess on Tcs
5. Tax
Category
Ø Assign the created tax with precedence
GENERAL
LEDGER
LEDGER CREATION SETUPS
1. Creation
of 4-C's
Ø Calendar
Ø Calendar Name
Ø Prefix – Type – Year – From Date – To date
Ø Currency
Ø Chart Of Accounts
Ø Segments – (Company, Cost Centre, Natural Account)
Ø Flexfeild Qualifiers
Ø Value Sets – List Type, Security Level, Validation Type
Ø Values – Assign Values for Value sets
Ø Retained Earnings Account is Mandatory
Ø Segment Qualifiers – (Allow Budgeting & Posting, Reconciliation
Type,Third party Control & Account Type)
Ø Conventional Accounting ( Sub Ledger Accounting)
BUDGET SETUPS
1. Accounting
Setup manager
Ø Enable Bugetary Control
Ø Enter RFE Account
2. Open
Encumbrance year
3. Encumbrance
Types
Ø REQ
Ø P.O.
Ø Invoice
Ø Commitment
4. Fund check
Level
Ø Absolute
Ø Advisory
Ø None
5. Bugetary
Control Group
Ø Source – Other
Ø Category – Other
Ø Fund Check Level – Absolute, Advisory & None
6. Assign
Budgetory Control Group
7. Financial
Options
Ø Emcumbrance
Ø Use at RFQ
Ø use at P.O.
Ø Reserve at completion
8. Budget
Ø Budget name
Ø Ledger
Ø Status – Open, Frozen & Current
Ø Budget Period – April to March
9. Budget
Organization
Ø Budget Org Name
Ø Ledger
Ø Ordering Segment
Ø Ranges
Ø Low- Accounting Code
Ø High – Accounting Code
Ø Type- Entered & Calculated
Ø Budgetary Control
Ø Fund Check Level – Absolute, Advisory & none
Ø Amount Type – PTD,QTD,YTD&PJTD
Ø Boundary – Period, Project, Quater & Year
Ø Funding Budget
Ø Range Assignment
Ø Account – Accounting Code
MASS ALLOCATION
1. Source
Journal
Ø Create an invoice
2. Cost Centre
Mapping
Ø Enter parent Values and Assign the child values to that
3. Stat J.V.
Ø Create Recurring journal
Ø Type- Stat
4. Formula
Ø T= A*B/C
Ø A – Cost Pool – Common Cost Centre – Constant (C)
Ø B – Usage Factor – Parent Cost Centre – Looping (L) – Stat
Ø C- Total usage – parent Cost Centre – Summing (S) – Stat
Ø T- Target – parent Cost Centre – Constant (C)
Ø O- Offset A/c – Common Cost Centre – Constant (C)
FINANCIAL STATEMENT GENERATOR
1. Row Set
Ø Enter Row Name
Ø Enter Accounting Code in Accounting Assignment
Ø Row Set is variable
2. Column Set
Ø Enter Column name
Ø Enter Accounting Code in Accounting Assignment
Ø Column set fixed
3. Report Set
Ø Report set name
Ø Define Report
Ø Report name
Ø Title Name
Ø Attach Row and Column Set
GENERAL LEDGER CONSOLIDATION
1.Create
Charts Of Accounts Mapping For Consolidation
Ø Mapping name & Description
Ø Select Target COA
Ø Select Source COA
Ø Action – 'Copy Value From' for Each Segment
Ø Consolidation Type- Balance & Transaction
2.
Pre-Requisite
Ø Complete Journal Posting in Source journal
Ø Open the period in the Destination ledger
3. Transfer
Data
Ø Transfer data from Source to Target
4. Eliminate
intercompany balance
5. Run Report
Note :
If u hav consolidated for
(April to September) Already and if u
want to do consolidation for (April to March) then we have to reverse the
journal for the period for (April to September) and then run consolidation for
the whole period.
FIXED ASSETS SETUPS
1.Asset Book (
Book Control)
Ø Book Name
Ø Calendar
Ø Ledger
Ø Depreciation Calendar
Ø Prorate Calendar
Ø Current Period
Ø Accounting Rules
Ø Allow Revaluations
Ø Allow Group Depreciation
Ø Natural Account
Ø Proceed to sale
Ø Cost of Removal
Ø Net Book Value Retired
Ø Revaluation Reserve Account
Ø Deferred Depreciation Reserve
Ø Deferred depreciation Expense
Ø Depriciation Adjustment
Ø Account generator Default
2.Asset
Category
Ø Category
Ø Major
Ø Minor
Ø Category Type- Leased , Non Leased And Lease hold Improvement
Ø Ownership – Owned and leased
Ø General Ledger Accounts
Ø Book – Attach the book created
Ø Asset Cost account
Ø Asset Clearing account
Ø Depreciation account
Ø Accumalated Depreciation A/c
Ø Bonus Expense A/C
Ø bonus Reserve A/c
Ø CIP Cost A/c
Ø CIP Clearing A/c
3.Fiscal Year
Ø Fiscal Year name
Ø From Date – To date – Mid year start date – Fiscal Year
4.Calendar
Ø Calendar Name
Ø Fiscal Year Name
Ø Period – Name – from Date – To date
5.Prorate
Convention
Ø Convention Name
Ø Fiscal Year
Ø Enable Depreciation When placed in service
Ø From Date – To date – Prorate Date
6.System
Control
Ø Enterprise Name
Ø Flexzfeild Structure
Ø Category Flexfeild – Major & Minor ( Defined in G.L)
Ø Location Flexfeild – State , City, Sub city (Defined in G.L.)
Ø Asset Key Flexfeild – (Defined in G.L.)
Ø Automatic Asset Numbering
Ø Starting asset number
7.Depreciation
Method
Ø Method name
Ø Method Type – Table,Calculated, Production,Flat & Formula
Ø Calculation Basis – Cost & NBV (Net Book Value)
Ø Enable Depreciate in Year period ( For WDV&SLM)
Ø Enable Straight Line Method ( For SLM)
Ø Rates – Year – Period and Annual Rate
8.Category
Flexfield (G.L. Responsibility)
Ø Major – Value – Description And Start Date
Ø Minor – Independent Value(Major)
Ø Value – Description – Start date
9.Asset key
Flexfield (G.L. Responsibility)
Ø Value – Asset No
Ø Start Date – 01-Jan-1951
10.Location
Flexfield (G.L. Responsibility)
City , State & Sub Location
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