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Reconciliation of Pcard Purchases

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Presentation on theme: "Reconciliation of Pcard Purchases"— Presentation transcript:

1 Reconciliation of Pcard Purchases
Due by the 15th of each month or next business day if 15th is on a weekend or holiday.

2 Accounts Payable > Credit Cards > Review/Submit Transactions

3 Choose the transaction and click “Edit”

4 Click “Edit Master” to enter description of the transaction
Click “Edit Master” to enter description of the transaction. (Why was this purchase made?)

5 After entering description in Edit Credit Card Transaction Master page, click “Save”

6 Click “Edit” under Transaction Detail Lines

7 Enter description of transaction (again please) and enter the proper budget account code, click “Save”

8 Click “Attachments” to add digital copy of original itemized receipt and finally “Submit For Approval”


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