State of Kansas Voucher Styles Statewide Management, Accounting and Reporting Tool Voucher StylesDefinition Adjustment Used for entering a credit or debit.

Slides:



Advertisements
Similar presentations
CIMS FMS. CIMS Navigation Tips Function keys Working with spool files/ jobs CIMS navigation.
Advertisements

PantherSoft Financials Smart Internal Billing. Agenda  Benefits  Security and User Roles  Definitions  Workflow  Defining/Modifying Items  Creating.
Imagination at work. See tutorial regarding confidentiality disclosures. Oracle e-Business Suite Oracle Receivables for Beginners Csilla Noé Attila Ábel.
Journal Entry Guidelines. Common Definitions Journal Entry Guidelines Journal Entry Preparation Documentation OBJECTIVES.
Online Journal Entry Finance Business Solutions Shaleen Batra Finance Business Solutions – User Support & Training.
Inter-Warehouse Transfers An Enhancement For iSeries 400 DMAS from  Copyright I/O International, 2004, 2005, 2007, 2010 Skip Intro.
ProcureAZ 11 Invoices.
Billing for Departmental Users
Accounts Payable Training for Direct Pays. AGENDA Is a PO needed Learn When A Direct Pay Is Needed or Learn To Successfully Remove A Direct Pay Making.
Web Voucher Demo Version 8.4 Web Voucher Demo WELCOME Presenters Kim Kelley, Ron Reed.
Purchasing and Accounts Payable Training. Agenda Procure to Pay Process Walk-Through Examples to Prevent Matching Issues and Pre- mature encumbrance (PO)
Chapter 5 Expenditure Cycle Applications. Expenditure Documents i.Purchase Requisitions ii.Purchase Orders iii.Receiving Report iv.Voucher Systems v.Invoice.
State of Minnesota Statewide Integrated Financial Tools Accounts Payable 2: Voucher Entry and Maintenance Entry Overview.
Inventory and Purchase Orders. 2 Objectives 1. Activate the Inventory function 2. Set up Inventory Items in the Item list 3. Use QuickBooks to calculate.
McGraw-Hill/Irwin Introduction to QuickBooks Pro, 2004 © 2005 The McGraw-Hill Companies, Inc., All Rights Reserved. Chapter 4 Bank Reconciliation.
2013.  Reconcile your checking account  Create bank reconciliation reports  Find errors during reconciliation  Correct errors found during reconciliation.
©2008 TTW Where “Lean” principles are considered common sense and are implemented with a passion! Product Training Cash and Cash Management.
State of Kansas INF50 Excel Voucher Upload Statewide Management, Accounting and Reporting Tool The following Desk Aid instructs users on overall functionality.
Statewide Financial System Program 1 Billing: Refresher Training Key Points Billing: Welcome.
State of Kansas INF50 Excel Voucher Upload Statewide Management, Accounting and Reporting Tool The following Desk Aid instructs users on overall functionality.
Introduction to Accounts Payable State of Indiana Instructor: Sarah LaCour
Report of Collections Class
State of Kansas INF43 Excel Deposit Upload Statewide Management, Accounting and Reporting Tool The following Desk Aid instructs users on overall functionality.
Wesleyan Financial System Training WFS Implementation June/July 2009.
NextGen Budgeting Presented by: Julie Carroll Local Government Corporation Resource 2015.
ENCOMPASS Voucher Build Process
Statewide Financial System Program 1 Billing: Refresher Training Key Points Billing: Welcome.
1 Purchase Orders Handout. Purchase Order - Buyer 2 If a Buyer is not selected, Donnita Thomas (Central) will default in the Buyer field. Please ensure.
1 Accounts Payable Year End Procedures Presented by Kristie Gonzales.
Agency (BU) Approver Training State of Indiana Instructor: Brian Woods.
Statewide Financial System Program 1 AP 205 Voucher Entry and Processing AP 205 Voucher Entry and Processing Welcome.
Nextgen Transactions Presented by Bridget Clayton Local Government Corporation Resource 2015.
RealProperty PLUS Purchase Order Processing © 2009 Domin-8 Enterprise Solutions LLC. All rights reserved.
Statewide Financial System Program 1 Accounts Receivable: Refresher Training Key Points Accounts Receivable: Refresher Training Key Points Welcome.
State of Kansas Travel Authorizations Statewide Management, Accounting and Reporting Tool Entering a Travel Authorization Navigation: Travel and Expense.
1 Accounts Payable. 2 Accounts Payable Change Overview Global Change Page Changes –Summary Tab –Related Document Tab –Invoice Information Tab –Add a New.
1 School Information Systems SISFin and P-Card. 2 Benefits of P-Card P-Card is a credit card and can be used with any merchant who accepts them. Purchases.
MyFloridaMarketPlace Design Overview February 19, 2004.
CENTURY 21 ACCOUNTING © Thomson/South-Western LESSON 1-2 Journalizing and Posting Purchases and Purchases Returns NAME: ____________________ DATE: _____________PERIOD:
State of Kansas Control Groups Statewide Management, Accounting and Reporting Tool Group Information – Add a New Value Navigation: Accounts Payable > Control.
ANUA 2011, Ft. Lauderdale INTRO Finance 2.0 Highlights ANUA 2011, Ft. Lauderdale education solutions development inc.
Chapter 2 Page ref. Chapter 2 Managing Revenue 31.
Bank Reconciliation. Process of balancing your check book Compare your bank statement to your records in QuickBooks to ensure that bank shows what you.
Managing Expenses Chapter 3. PAGE REF #CHAPTER 3: Managing Expenses SLIDE # 2 Objectives Set up vendors in the Vendor list Understand how to use classes.
COMPUTER ACCOUNTING WITH MICROSOFT BUSINESS SOLUTIONS—GREAT PLAINS 8.0 CHAPTER 10 FLASH CARD SOLUTIONS.
Invoices and Service Invoices Training Presentation for Raytheon Supply Chain Platform (RSCP) April 2016.
Bank Reconciliation Chapter 4. PAGE REF #CHAPTER 4: Bank Reconciliation SLIDE # 2 Objectives Reconcile your checking Create bank reconciliation reports.
How to Create eInvoices in SCP-RR Training Presentation for Supply Chain Platform: Rolls-Royce January 2016.
Create eInvoices Training Presentation for Supply Chain Platform: Rolls-Royce February 2014.
Banner Finance Training Interactive Reporting Training.
NextGen Trustee GL/Accounting This class will cover NextGen Financial Management for Trustee Offices. We will look at GL accounts, Transactions, Bank Reconciliation,
Inventory Chapter 3. PAGE REF #CHAPTER 3: Inventory SLIDE # 2 2 Objectives Activate the Inventory function Set up Inventory Items in the Item list Set.
NextGen Budgeting Resource 2016 Local Government Corporation.
CENTURY 21 ACCOUNTING © 2009 South-Western, Cengage Learning LESSON 5-2 Voucher Check and Check Registers.
MyFloridaMarketPlace MyFloridaMarketPlace 2.0 Disputing Line Level Exceptions.
P2P Module: Ariba P2P INVOICING
eInvoice Business Process
Partner Managed Inventory (PMI) Process
Getting Started with Vendor Pay Requests
NEXTGEN ACCOUNTS pAYABLE
NextGen Trustee General Ledger Accounting
Accounts Payable Reports & Processes
Purchasing & Accounts Payable Tips and Tricks
THE BENEFITS OF HRS INSURANCE PROCESSING
Cash and Cash Management
Addressing Common PO Changes
District Court Workshops
Controller’s Office – Journal Voucher eForm January 22, 2019
Controller’s Office – Journal Entry Training March 19, 2019
Federal Income Tax Check the one that applies. Likely “Single.”
Presentation transcript:

State of Kansas Voucher Styles Statewide Management, Accounting and Reporting Tool Voucher StylesDefinition Adjustment Used for entering a credit or debit memo. Also used for relating one voucher to another voucher. On the Invoice Information page, enter positive or negative adjustment amount (the difference between the original amount and the amount requested) for the lines as appropriate.  (Optional) On the Invoice Information page, in the Copy from a Source Document group box, enter the voucher ID of the voucher that you want to reverse in the Voucher ID field, and click the Copy to Voucher button to copy the entire voucher.  (Optional) To copy individual voucher lines, enter a vendor on the Invoice Information header, and click the Copy From Worksheet link in the unlabeled group box above the Invoice Lines scroll area. Note: Source vouchers are regular vouchers and must have the same business unit, vendor setID, and vendor ID as the adjustment voucher that you are creating. 11/21/20151Voucher Styles_v5

State of Kansas Voucher Styles Statewide Management, Accounting and Reporting Tool Voucher StylesDefinition Journal Used for correcting accounting entries on a posted or paid voucher. Journal vouchers are zero-amount vouchers; you cannot copy any source documents. The gross amount of voucher must be $0.00.  (Optional) To link this voucher to the voucher that you are adjusting, enter a voucher ID in the Related Voucher field in the Invoice Information page header. Note: User enters a debit (positive) with correct data, and a credit (negative) to back out error(s). Do not change any of the amounts on a journal voucher. Regular Used for entering vouchers that are purchase order and non- purchase order related vouchers. This is the default setting in SMART. Note: Setoff Credit Memos are Regular Style Vouchers with a negative amount. 11/21/20152Voucher Styles_v5

State of Kansas Voucher Styles Statewide Management, Accounting and Reporting Tool Voucher StylesDefinition Reversal Used to undo a transaction, including backing out incorrect vouchers, restoring the encumbrance for actuals and budgets, and reducing the purchase order’s matched quantity or amount. Reversal vouchers are always credit vouchers and all voucher lines that reference a purchase order must be less than zero. Note: For an incorrect voucher, rather than unposting, undoing the match, and closing the voucher, you can simply enter a reversal voucher. When a voucher has been paid, a user can process a reversal voucher. The reversal voucher will remain in SMART until there is a positive balance, based on BU/Vendor combination. At that time reversal voucher will process. Note: Source vouchers must have the same business unit, vendor setID, and vendor ID as the reversal voucher that you are creating. They must also be successfully budget checked and matched. 11/21/20153Voucher Styles_v5

State of Kansas Voucher Styles Statewide Management, Accounting and Reporting Tool Voucher StylesDefinition Single Payment Used for entering a voucher without having to record the vendor information in the vendor table. Voucher is created for a payment to a one-time vendor, such as a rebate or refund recipient. Note: In the SMART vendor file, there will be a generic Single Payment Vendor(s) set up. You add the remaining vendor- identifying information, such as vendor name, address, and bank information directly on the voucher. You can also override the single payment vendor defaults on the voucher. Template Used for creating a template to generate regular vouchers with similar information. Once you have created and saved the template voucher, it is available for use during the entry of other vouchers for the specific vendor.  (Optional) Click the Copy PO button or the Worksheet Copy Option field below the Invoice Information page header to copy information from the appropriate voucher, purchase order, receiver, or other template. 11/21/20154Voucher Styles_v5

State of Kansas Voucher Styles Statewide Management, Accounting and Reporting Tool Training Aids: N/A UPKs: Creating Non-Purchase Order Vouchers, Creating Purchase Order Vouchers, Entering Journal Vouchers, Entering Reversal Vouchers Instructor-Led Training: DAAP311 Voucher Processing DAAP312 Advanced Voucher Processing 11/21/20155Voucher Styles_v5