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Nextgen Transactions Presented by Bridget Clayton Local Government Corporation Resource 2015.

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Presentation on theme: "Nextgen Transactions Presented by Bridget Clayton Local Government Corporation Resource 2015."— Presentation transcript:

1 Nextgen Transactions Presented by Bridget Clayton Local Government Corporation Resource 2015

2  Import Transactions  Transaction Batches  Transactions  Transaction Templates  Post Transactions Transaction Menu Options

3 Import Transactions  Division-this will fill in automatically if you only have 1 Division (multiple divisions will need to select one)  File Definition-select the File Definition that has been setup  File-may fill in automatically  Batch ID-You will select a batch that has already been created or you may create one here.

4 File With Errors A red shield will be displayed if there are errors on the file. Click NEXT to receive a message detailing the errors.

5 Example Errors in File  Account Control 101 is invalid because it does not allow entries for 2014-2015 fiscal year and January Period (would be because the January Period is not open)  GL account number 101-31100- - - is invalid because it does not exist for 2014-2015 fiscal year (would be because this account number is not setup for this year)

6 File Without Errors There will be no error shield. Review the complete transaction. Click NEXT to continue.

7 Review the summary, if all info is correct, click FINISH to import.

8 After the transaction imports you will receive a confirmation. Click Close

9 Transaction Batches  Importing a Transaction File will create a batch containing the transaction. The entry is not posted until you close and post the batch.  You may create a batch from the Transaction Batch Menu.  Or you may create a batch while entering a transaction.

10 Transaction Batches  Financial Management  Transactions  Transaction Batches  Select New from the Ribbon Bar to add a new batch  Click FIND to list unposted batches.  Double click the batch to open

11 General Tab lists Batch Id, Date, Status and Created by. Tasks are Print Batch, Close Batch and Post Batch Click on the Transactions Tab to see the transactions in the batch.

12  The transaction will be detailed.  The total transaction amount listed.  Add Transaction allows you to add more transactions to the batch.  Click on the General Tab to switch back to the previous screen.

13 You will be able to now Print the Batch, Close the Batch, and Post the Batch.

14 Post Batch After selecting POST Batch it will display the batch information. Select NEXT to continue.

15 Review the Summary Click FINISH to post.

16 The confirmation screen will display once the batch posts. Click CLOSE

17 Transactions  Financial Management  Transactions  Click NEW from the ribbon bar

18 Another way to enter a batch is to add a new Transaction and not check to Post this Transaction. Checking this option allows you to immediately post the transaction. Click the drop down arrow to select an existing batch or click the ellipses to add a new batch. Fill in all the required info Click NEXT to proceed with the transaction.

19 Enter the accounts, debits and credits. Hit NEXT to continue.

20 Summary Screen Review Summary Screen Click FINISH

21 Transactions Viewing Options  You can view posted transactions and unposted transactions by:  Date  Number  Amount  Batch ID  Reference

22 Viewing Transactions  Financial Management  Transactions  Select your View option  Enter selections  Click FIND  Double Click on the transaction you wish to view.

23 The General tab shows the general info for the transaction such as status, date, type, number description, etc. If this was a manual transaction you can Void the transaction here.

24 If any Internal Notes have been entered they will show on the Internal Notes tab.

25 Click on the entries tab to see the full transaction.

26 Voiding a Transaction

27 Fill in the required info Click NEXT

28 The entries will pull in based on the original transaction. Click NEXT to continue

29 View Summary Screen Click FINISH

30 Transaction Templates Financial Mgmt Transactions Transaction Templates New (Ribbon Bar)

31 Creating a Transaction Template Division Description Access Transaction Type Bank Account

32 Add Entries Entries Tab Add Account Numbers Save and Close

33 Transaction with Template Load Template Fill in other transaction options Next

34 Template Entries

35 Summary

36 Post Transactions  Financial Management  Transactions  Post Transactions  All closed batches will display.  Select the batches you wish to post.  Click NEXT  Click Finish on the Summary Screen

37 Review Posting Transaction Options  Can be done automatically as the transaction is entered.  Can be done thru the Transaction Batch Menu Option  Can be done thru the Post Transaction Menu Option

38 File Definition  Financial Management  Administration  File Definition  Select NEW from the ribbon bar.

39 File Definition  Select your Division  Key in your Description  Type Import Transaction  Select Transaction Type  Select Delimiter (CSV or Excel)  Click ellipses to browse to file path.  Click ellipses to browse to filename.  You can allow public or private access.  If file contains a header row, check the box.  Active should be checked.  Click NEXT to continue

40 Creating A File Definition Select the column names that match your file. If column needs formatting select the appropriate format. Field number is the column number for a CSV file, for excel files you will select the starting point and end point. Select NEXT to continue.

41 Review the summary screen and click FINISH if all is correct.

42 Nextgen Transactions This concludes our Training class. Thank you for Participating in Our Resource 2015 Class.


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