Payroll Processing Using Banner 7. Running the Feed to Finance Process



Similar documents
Banner Human Resources Position Control Training Workbook Release March 2011 Updated 10/7/2011

Banner Human Resources Time Entry and Payroll Processing Training Workbook

SCT Banner Human Resources Salary Planner Training Workbook May 2005 Release 7.1

New Funding of Cost Sharing Procedures for Fiscal Year 2004

Chapter 13. Tax Filing Reports

How To Perform Fund Accounting On A Fiscal Year 2009

Salary and Wage Budgeting

Banner Human Resources Managing Time Entry Training Workbook Release 8.5 March 2011 Updated 10/10/2011

Overview... 2 How to Add New Documents... 3 Adding a Note / SMS or Phone Message... 3 Adding a New Letter How to Create Letter Templates...

HR Reporting. Introduction to: This training document was developed by and for the use of:

Banner Finance. Banner Navigation Quick Hints Managing your Banner Account Setting Up My Banner... 11

3dCart Shopping Cart Software V3.X Affiliate Program Guide

Banner Human Resources Managing Benefits and Deductions Training Workbook Release 8.4 March 2010 Updated 10/10/2011

SAP Business Intelligence ( BI ) Financial and Budget Reporting. 2nd Edition. (Best Seller Over 1,000,000 copies sold)

Chapter 3 Claims June 2012

How to Run Reports In PeopleSoft Finance. PeopleSoft Finance

Arkansas State University-Jonesboro. Internet Native Banner Finance Initiator User s Guide Budget Transfers

Lawrence University Web Time Entry for Approvers

How to Query Receiving Documents

DALHOUSIE NOTES ON PAYROLL EXPENSE DETAIL IN FINANCE SELF SERVICE. QUICK REFERENCE As of September 1, 2015

Research Grants Financial Reporting. Presented by: Office of Information Technology

Self Service Banner Finance User Instructions

Basic Pivot Tables. To begin your pivot table, choose Data, Pivot Table and Pivot Chart Report. 1 of 18

Banner Employee Self-Service Salary Planner Handbook. Release 8.6 October 2011

Onboarding for Administrators

How MSI Payroll posts to the General Ledger Version 6.0

Running a Financial Statement Generator (FSG) in EAS

Instructions to process IRS forms 1099 in PeopleSoft

SAP Financial / Budget Reporting. Fiscal Year 2009 and 2010 ZFM01 & ZFM01_EXP

CHAPTER 11 LEGAL ACCOUNTING MODULE 11.0 OVERVIEW 11.1 REQUIREMENTS AND INSTALLATION Special Requirements

Set up Technician for Field Service. User Guide

Intuit QuickBooks Direct Deposit Getting Started Guide

FINANCIAL SERVICES DEPARTMENT

PSFIN v9.2 Expenses Administrator Participant Guide

State of Connecticut Core-CT Continuing Education Initiative. Advanced Billing

How to Manage Subcontractor Agreements & Policy

Introduction: Payroll Suspense Correction (PPS) Process Prepared by Deanna Sailor 04/14/2015 Page 1

Salary and Planning Distribution (SPD) Ad-Hoc Reporting Tool

Banner Web Time Entry. Banner Web Time Entry (WTE) Time Entry User Guide

How to Create a Policies & Excel Spreadsheet Report Options

Managing Departmental Expenses and Revenue Budgets. Version Date: 6/2015

Banner Finance Fixed Assets Training Workbook

NEWSTAR Training Guide. Banking, Consolidations and Tax Systems

MSI Parking Tickets Version 4.0

Encumbrance Journal Entries for Escrowed Amounts

Quick Reference Guide: Accessing Business Intelligence Reports for Payroll Services

CAMPUS FINANCIAL REPORTING Instruction Manual

How to Attach Files in Blackboard Learn , Messages, Discussions, and Assignments

Champion Controller to Red Wing Payroll Migration Instructions

Self Service Banner (SSB) Finance

Banner Web Time Entry User Guide. Students. Delaware State University 1 Banner Web Entry

LP 2844 Thermal Printer

Use these directions to review job requisitions that require approval.

Complete the Payroll Transfer Form

MY WORLD GIS. Installation Instructions

Closing An Account in the Finance System

Using the VMS Data Entry Reports

HIGHER EDUCATION. Voyager Project Banner Finance Report Manual

How To Download Nvision Reports In Awnsoft Peoplesoft Report Manager And Nvision Operating Reports In Excel

Doing Payroll With QuickBooks. Lesson 12

MAS 90 Demo Guide: Accounts Payable

CONVERSION GUIDE EasyACCT Write-Up to Accounting CS

Submitting a Claim in New MIPS Homeless Children Nutrition Program single-site

Principal Investigators, Business Managers and Departmental Administrators. Principal Investigator Salary Authorization Policies and Procedures

CLARK ATLANTA UNIVERSITY

Preparing a Chart of Accounts

Introduction to Workday: Navigation and Manager Self-Service. Created by the Workday Communication, Training and End-User Support Team

This is a training module for Maximo Asset Management V7.1. It demonstrates how to use the E-Audit function.

VILLANOVA UNIVERSITY BANNER FINANCE SYSTEM REFERENCE GUIDE FOR DOCUMENT HISTORY FORM (FOIDOCH)

MYOB EXO BUSINESS WHITE PAPER

Enterprise Accounting System (EAS) General Ledger Training- Overview

Instructions for Uploading and Sending Transcripts to the CollegeforTN.org Transcript Exchange Chancery SMS IMPORTANT NOTES:

Payroll End of Month User Guide

Human Resource Management System User Guide

Sage Evolution Payroll vs Sage Pastel Partner Payroll Basic Comparative User Guide. Sage Pastel Payroll & HR March 2014

Old National Online Trust Getting Started Guide

Install the System Manager, following instructions in Chapter 3 of the System Manager Administrator Guide.

MS Project Tutorial for Senior Design Using Microsoft Project to manage projects

(You will use the login ID and password below to login through the first two websites.)

BPA Restaurant Professional Payroll System

As your financial institution completes its system conversion, you

Step-by-Step Guide Expense System Inquiry. What is Expense Processor? How do I complete a basic inquiry?

1.5 MONITOR FOR FMS 6 USER GUIDE

Instructions for Importing (migrating) Data

FI 1: Display Chart of Accounts

DBA Financials Conversion Guide

LOGER S INSTRUCTION MANUAL

PAYROLL 8.9 TRAINING GUIDE ONLINE CHECKS

CONFIGURING VIRTUAL TERMINAL: This is the screen you will see when you first open Virtual Terminal

Addax Business Solutions - Support Services

Session #134 QSS Users Group Conference. Presenter: Stephanie Gunderson

Information Warehouse Accounting Data

Understanding Budget Checking Expense Transactions

STIClassroom Win Rosters and Lesson Plans

Alliance Payroll Services, Inc Payentry.com. Training manual

Onboarding for Administrators

Accounts Receivable WalkThrough

Accounts Payable Job Aid

Transcription:

Process Introduction The feed to finance process prepares the budget amounts to be fed to the position labor distributions. It also calculates salary and encumbrance amounts, generates the new fiscal year encumbrance if run at the beginning of the fiscal year, assigns the encumbrance document numbers/sequence numbers for the feed to Banner Finance, and assigns labor distribution overrides where appropriate. Fringe benefit encumbrances are generated only if the charge-back method is setup to encumber. The process is used in the Budget Development cycle to generate original budgets to the Banner Finance: Budget Preparation module. The Finance Extract Process (NHPFIN1) extracts COBRA and budget data for Finance System interface and updates the position totals with encumbered amounts. This process inserts records into the Finance Interface Rule Form (NHRFINC) for original budget and budget changes that were input on the Position Budget Form (NBAPBUD) to the current fiscal and salary encumbrance and COBRA transactions. These transactions will be journalized to the current fiscal year finance operating ledgers. This process has no impact on the disposition number. This process also supports the budget development for the next fiscal year and will generate working budget transactions for the next fiscal year to the Banner Finance: Budget Development module if the Feed Budget to Finance Budget Development checkbox is checked on the HR/Finance Set Up Rule Form (NTRFINI). This function is documented in the Budget Development Manual. Page 1

Banner Finance forms The Finance Interface Report Process (NHPFIN2) passes the Finance Extract Process (NHPFIN1) and the Expenditures Finance Extract (PHPFEXP) transactions to Banner Finance. It provides an optional report detailing the data extracted and passed to Banner Finance. The process performs two distinct functions. It is run to create budget and encumbrance transactions to Banner Finance by leaving the Pay ID parameter blank. It is also run to create expenditure and liability transactions to Banner Finance by populating the Pay ID parameter. The process submission should be managed accordingly. Specifically, this process reads the Finance Extract table and updates the General System s Finance Transaction Input table (GURFEED) with the journal entry details for updating Banner Finance. GURFEED is a Collector table through which all interfacing transactions to Banner Finance are passed. An option exists to print out a detail report that provides all the supporting documentation by Finance Rule code, Payroll Earnings code, and Benefit/Deduction code to support the summary journal entry that updates Banner Finance. A summary report presents the information summarized by line item that is journalized to Banner Finance. When run after NHPFIN1 with the Pay ID parameter left blank, a finance journal document is created for the original budget, budget adjustments, fringe budget, fringe adjustments, encumbrance, and COBRA transactions. Page 2

Banner form Procedure Follow these steps to complete the process. 1 Access the Budget Maintenance Process (NBPBUDM). 2 Double-click in the Printer field and select the name of your printer. 3 Enter P in the Values field to denote Post update for the Parameter 01 Process Mode. 4 Enter Y in the Values field to perform budget processing for the Parameter 02 Budget Processing. 5 Enter Y in the Values field to perform encumbrance processing for the Parameter 03 Encumbrance Processing. 6 Enter A in the Values field to denote Active budgets for the Parameter 04 Active or Working Budgets. 7 Enter a value in the Values field for the Parameter 05 Chart of Accounts Code. 8 Enter 2001 in the Values field for the Parameter 06 Fiscal Year. 9 Leave the Values field blank for the Parameter 07 Budget ID. 10 Leave the Values field blank for the Parameter 08 Budget Phase. Page 3

Procedure, continued 11 Leave the Values field blank for the Parameter 09 Recast Chart of Accounts. 12 Leave the Values field blank for the Parameter 10 Recast Date. 13 Enter Y or N in the Values field blank for the Parameter 11 Process All Pay IDs. 14 Leave the Values field blank for the Parameter 12 Recast Pay ID. 15 Click the Save Parameter Set As checkbox if you will be using the same printer and date value again. 16 Click the Submit radio button to process the calculation. 17 Click the Save icon. 18 Click the Exit icon. Note: Review the output execution listing report, if printed. Check to ensure that the report ran successfully without errors. Only the budget maintenance for the active fiscal year budget parameter options was set up above. Page 4

Banner form Procedure Follow these steps to complete the process. 1 Access the Finance Extract Process (NHPFIN1). 2 Double-click in the Printer field and select the name of your printer. 3 Enter N in the Values field for no interfacing with COBRA for the Parameter 01Interface COBRA Flag. 4 Enter Y in the Values field to allow for interface budgeting for the Parameter 02 Interface Budget Flag. 5 Enter Y in the Values field to allow for interface encumbrance for the Parameter 03 Interface Encumbrance Flag. 6 Click the Save Parameter Set as checkbox if you will be using the same printer and date value again. Page 5

Procedure, continued 7 Click the Submit radio button to process the calculation. 8 Click the Save icon. 9 Click the Exit icon. IF you selected to Print your report you selected the Database print option 10 Check for normal terminations. THEN review the output execution listing report. select Review Output from the Options menu and select the file name. Page 6

Banner form Procedure Follow these steps to complete the process. 1 Access the Finance Interface Report Process (NHPFIN2). 2 Double-click in the Printer field and select the name of your printer. 3 For the Parameter 01 Product Detail Report, enter Y in the Values field. 4 For the Parameter 02 Interface Transactions to FURFEED, enter Y in the Values field to allow for interface transactions. 5 For the Parameter 03 Expenditure Payroll ID, enter BW in the Values field. 6 Click the Save Parameter Set as checkbox if you will be using the same printer and date value again. 7 Click the Submit radio button to process the calculation. Page 7

Procedure, continued 8 Click the Save icon. 9 Click the Exit icon. IF you selected to Print your report you selected the Database print option 10 Check for normal terminations. THEN review the output execution listing report. select Review Output from the Options menu and select the file name. Page 8