Manage Statements  Review Open Statements (default) 2.

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Presentation transcript:

Manage Statements  Review Open Statements (default) 2

Manage Statements  View Previous Statements  13 months of history 3

Manage Statements  View Cycle-to-Date Transactions  Appear on your statement as they are posted through the Visa ® system 4

24 Manage Statements  Default values may be assigned to custom fields  Default values may be assigned to the general ledger (G/L) fields based on merchant type

If a vendor transmits additional details with the transaction, the Merchant name is red and underlined Select the Merchant name to access the detail screen 6

Available functionality includes:  Reclassify - reallocate an entire transaction  Add Descriptions - provide transaction details  Split and Reclassify – divide a transaction multiple ways  Dispute – dispute a transaction 7

Click the icon to reclassify General Ledger Code Reclassify Screen Enter a business description Enter a value if one doesn’t exist  Enter a business description, review/reclassify custom fields and the GL code  Avoid special characters - % ; ( ) & + \ # ? { } I ^ ~ [ ] “ ‘ Please note the system will timeout without notice after 15 minutes of inactivity. You will receive a 10 minute warning on all “Action” screens. Click OK to reset the timer 8

Reclassify Screen 9

Add Description Screen 29  Add a transaction description  Provide a business purpose for travel related expenses  Provide name of guests entertained  Adhere to company policy  Avoid special characters - % ; ( ) & + \ # ? { } I ^ ~ [ ] “ ‘ Please note the system will timeout without notice after 15 minutes of inactivity. You will receive a 10 minute warning on all “Action” screens. Click OK to reset the timer

 Divide and reallocate a transaction into multiple entries  Split by Amount or by Percentage  Select Add to create a new row and begin the split process Split and Reclassify Screen Enter a business description Enter a value if one doesn’t exist Click the icon to reclassify General Ledger Code 11

 Please try to contact the vendor FIRST to get a refund or correction  If unresolved after working directly with the vendor, complete the online form  Notify Program Administrator of dispute  You have 60 days from the post date to dispute a transaction Dispute Transaction Screen 12