Epicor ERP Epicor ERP Accounts Payable Transaction Hierarchy



Similar documents
Epicor ERP Epicor ERP Accounts Receivable Transaction Hierarchy

BackOffice 7.3 Bet a Release Notes BackOffice 7.3 Release Notes Accounts Receivable New Features Open Issues

Epicor 9 Accounts Receivable Course

Customer Matrix Viewer Epicor 9

Epicor Senior Living Solution Overview. Business without Barriers

Solar Eclipse Electronic Data Interchange (EDI) Release 9.0.1

Reference Document Month-End Closing

Eclipse Release Feature Summary. Release 8.7.7

Amicus Small Firm Accounting: Migrating from Another Accounting System

for Sage 100 ERP Bank Reconciliation Overview Document

Version 7.40 Customer Upgrade Guide. Sage ERP MAS 500

Credit Card Processing with Element Payment Services. Release 8.7.9

Integration points: Project management and accounting and other Microsoft Dynamics AX 2012 modules

Repairing Your Accounting System

User Documentation. Accounts Payable. June

Element Integration Guide. version 12.16

ICE for Eclipse. Release 9.0.1

SAMPLE ACCOUNTS RECEIVABLE. Policies & Procedures FOR. Version Edited By Edited Dates Comments 1.0 Irene Bushnell November 2015 Baseline

General Ledger Module

for Sage 100 ERP Purchase Order Overview Document

Bank Reconciliation. MaddenCo Inc. Revised October, Copyright 2015 by MaddenCo, Inc All rights reserved.

Technical Note: Reconciling the AP Past-Due Aging Report and Accounts Payable GL Account Balance

Microsoft Dynamics GP. Project Accounting Accounting Control Guide

Microsoft Dynamics GP. Project Accounting Billing Guide

Project Tracking 2015

Welcome to the financial reports topic

Prerequisite : Stable internet connection ; Mozilla or Chrome browser ; Disable browser pop-up ; own laptop

Release Notes Build 391

Microsoft Dynamics GP. Cashbook Bank Management

Credit Card Processing with Element Payment Services (Eterm) Release 8.7.8

ASRSP and Costing by populating the PROJ_RESOURCE table and that. Accounting the totals match per ChartField combination.

Microsoft Dynamics GP. Project Accounting Billing Guide

Microsoft Dynamics GP. Cashbook Bank Management

Chapter 1 Concept & Navigation

Trouble Shooting Guide for Reconciling AR Account

for Sage 100 ERP Accounts Payable Overview Document

M O N T H E N D / Q U A R T E R L Y / Y E A R E N D C H E C K L I S T S & P R O C E D U R E S ACCOUNTS RECEIVABLE ACCOUNTS PAYABLE

DBA Financials Conversion Guide

Microsoft Dynamics GP. Project Accounting Cost Management Guide

Service Management CSCI. Crawford Software Consulting, Inc. "Bringing Software and Manufacturing Together" TM. Business without Barriers

SAMPLE ACCOUNTS PAYABLE. Policies & Procedures FOR. Version Edited By Edited Dates Comments 1.0 Irene Bushnell November 2015 Baseline

December Camino Ramon, Suite 210 San Ramon, CA Voice: Fax: Website:

Microsoft Dynamics GP. Purchase Order Enhancements

ES ACCOUNTING QUICK START GUIDE

Solar Eclipse Printer Setup. Release 9.0

PARITY SOFTWARE S SAGE ERP X3 CASHBOOK USER MANUAL

Sage Cloud Connector Getting Started Guide. January 2014

TRITON 3.1/Infor ERP Baan. User's Guide to Analyze the Invoices Receivable Account

New Features in Sage BusinessVision 2013 (version 7.6)

How To Use A Bank Service On A Bank System

Entering the Take-up data in CrossCheck Travel

Month-end Close in a Non-profit Organization

Year End Closing 2013 Procedures for Sage 100 ERP. Martin & Associates

Sage 300 ERP Bank Services User's Guide

What s Happening? Best Practice for Embedding Mobile Technology in Your Store. Session Q&A

Accounts Payable. Reference Guide

Accounts Payable and Inventory Management

Title/task or Concept: Accounting System Settings Miscellaneous Settings

How to Set Up and Manage a Perpetual Inventory System

Year End Closing Procedures for Sage 100 ERP. Martin & Associates

Norming Asset Management. To make asset management easy and automatic with Sage Accpac ERP

TheFinancialEdge. Subsidiary Ledger Reconciliation Guide

A/R Journal Entries GAAP. Add Invoice Line. Cancel Line from Invoice Maintenance. Cancel Balance via Write-Off Invoice Balances Routine

Determining Correct Cost of Sales and Inventory Value GL Accounts

Microsoft Dynamics GP. Project Accounting Cost Management Guide

Solar Eclipse Accounts Payable. Release 8.7.2

Reconciling Report Totals

Invoice Matching User Guide

OpenText Information Exchange (IX) Professional Services

Sage 300 ERP Sage CRM 7.2 Integration Upgrade Guide

Request for Credit in Accounts Payable

PEOPLESOFT ENTERPRISE PAYABLES

WMS SOFTWARE - TRAINING SCHEDULE

Objective: Business Case: Key Points: Business Group: Set of Books: Operating Unit: Inventory Organization: Costing Method: Disclaimer:

Infor LN Financials User Guide for Accounts Receivable

Infor ERP LN 6.1 FP5. Difference Study Infor ERP LN 6.1 FP3- FP5

Software Monthly Maintenance (Non Accounting Use) Quick Reference Guide

Accounts Receivable. Chapter

User Guide. For. Diaspark ERP Software. Cash Manager Module

How To Use Microsoft Gpa On Microsoft Powerbook (Windows) On A Microsoft P2.1 (Windows 2.2) On An Uniden Computer (Windows 1.5) On Micro

Managing Company Credit Cards

Release Notes. Acumatica ERP 5.1

AccSoft ERP. Complex Business Tasks made easy with AccSoft ERP Solution... Features Brochure. Suspended VAT Enabled.

Founded in 1993 OSI has grown to become a leading technology consulting and services firm with over 450 professionals both from US and India

Dynamics GP 50 Tips in 50 Minutes

Collaborative SIG: SLA Accounting in R12: Procure to Pay Process

Receivables & Payables

Sage 300 ERP What's New

Service Management. Business without Barriers

EMAS EXECUTIVE MANAGEMENT ACCOUNTING SYSTEM Financial and Distribution application solutions PRODUCT OVERVIEW

Sage 300 ERP S a g e CRM 7.1 Integration Upgrade Guide

GST PST Distribution 10.0

Credit Card Accounts

SIMMS. Accounts Payable Module. Table of Contents. Check Numbers. Currency Trader Manual Check Entry. Paying Bills. Inventory Management System

Eclipse Reports. Release 8.7.8

for Sage 100 ERP Job Cost Overview Document

General Ledger Auditing. Presented By: Jim Lee

SKY-ERP Data Sheet. - a comprehensive ERP solution for Outdoor Infra Management SKYSOFT CONSULTANCY SERVICES PRIVATE LIMITED

Accounts Payable. Accrual Basis Payables These queries give you AP voucher information based on the voucher accounting date.

Configuring and Monitoring SharePoint Servers

Transcription:

Epicor ERP Epicor ERP Accounts Payable Transaction Hierarchy 10

Disclaimer This document is for informational purposes only and is subject to change without notice. This document and its contents, including the viewpoints, dates and functional content expressed herein are believed to be accurate as of its date of publication. However, Epicor Software Corporation makes no guarantee, representations or warranties with regard to the enclosed information and specifically disclaims any applicable implied warranties, such as fitness for a particular purpose, merchantability, satisfactory quality or reasonable skill and care. As each user of Epicor software is likely to be unique in their requirements in the use of such software and their business processes, users of this document are always advised to discuss the content of this document with their Epicor account manager. All information contained herein is subject to change without notice and changes to this document since printing and other important information about the software product are made or published in release notes, and you are urged to obtain the current release notes for the software product. We welcome user comments and reserve the right to revise this publication and/or make improvements or changes to the products or programs described in this publication at any time, without notice. The usage of any Epicor software shall be pursuant to an Epicor end user license agreement and the performance of any consulting services by Epicor personnel shall be pursuant to Epicor's standard services terms and conditions. Usage of the solution(s) described in this document with other Epicor software or third party products may require the purchase of licenses for such other products. Where any software is expressed to be compliant with local laws or requirements in this document, such compliance is not a warranty and is based solely on Epicor's current understanding of such laws and requirements. All laws and requirements are subject to varying interpretations as well as to change and accordingly Epicor cannot guarantee that the software will be compliant and up to date with such changes. All statements of platform and product compatibility in this document shall be considered individually in relation to the products referred to in the relevant statement, i.e., where any Epicor software is stated to be compatible with one product and also stated to be compatible with another product, it should not be interpreted that such Epicor software is compatible with both of the products running at the same time on the same platform or environment. Additionally platform or product compatibility may require the application of Epicor or third-party updates, patches and/or service packs and Epicor has no responsibility for compatibility issues which may be caused by updates, patches and/or service packs released by third parties after the date of publication of this document. Epicor is a registered trademark and/or trademark of Epicor Software Corporation in the United States, certain other countries and/or the EU. All other trademarks mentioned are the property of their respective owners. Copyright Epicor Software Corporation 2014. All rights reserved. No part of this publication may be reproduced in any form without the prior written consent of Epicor Software Corporation. 10 Revision: June 25, 2014 3:00 a.m. Total pages: 25 sys.ditaval

Contents Contents...4 AP Invoice Entry - Add Invoice...4 AP Invoice Entry - Add Memo...7 AP Invoice Entry - Get DMR Memos...9 Invoice/Receipt Match Maintenance...10 Logged AP Invoice Entry...11 AP Invoice Entry - Get Approved Logged Invoices...13 AP Invoice Entry - Get Approved Logged Invoices ( Memo)...15 Logged Invoice Approve and Void Entry...17 AP Adjustment Entry...19 AP Payment Entry...20 Void Payment Entry...22 Payment Instrument (PI) Payable Entry...22 Bank Adjustment Entry...22 Bank Funds Transfer...23 Bank Reconciliation...24 3

This hierarchy is a summary of common general ledger (GL) transactions posted from within the Accounts Payable (AP) module. Important This hierarchy assumes your company uses an unmodified version of the Standard posting rules delivered with the Epicor application. If you use the Extended posting rules, or if you need information regarding an AP transaction that is not listed on this hierarchy, refer to GL Transaction Type Maintenance to review the posting rule operation details. AP Invoice Entry - Add Invoice AP Invoice Entry - Add Invoice Important: The AP Account GL Control can always be changed in AP Invoice Entry. Add Receipt Billing Line Clearing Account 3. Inventory, COS and WIP GL Control - Less Advanced Payment Advanced Payment Account Add Advanced Billing Line Advanced Payment Account Add Job Miscellaneous Line Clearing Account 4

Note: Price variances are ADJ-PUR inventory transactions. 3. Inventory, COS and WIP GL Control - Add Unreceived Billing Line Clearing Account 3. Inventory, COS and WIP GL Control - Add Miscellaneous Line Expense Account 1. Part GL Control - Part 2. Part Class GL Control - Part Class 3. GL Control - 5. AP Account GL Control - Add Header Miscellaneous Charge Expense Account 1. Miscellaneous Charge GL Control - miscellaneous Charge/ Add Line Miscellaneous Charge No Purchase Order Note: Transaction is seen on AP Invoice Edit List. Expense Account 1. Miscellaneous Charge(Purchase) GL Control - Purchasing Miscellaneous Charge 5

Purchase to the job (PUR-MFG) Note: Transaction is seen on Inventory/WIP Reconciliation Report. Purchase to inventory (PUR-STK) Note: Transaction is seen on Inventory/WIP Reconciliation Report. Purchase to other (PUR-UKN) Note: Transaction is seen on Inventory/WIP Reconciliation Report. WIP Material (or WIP Subcontract) Account 1. Product Group (Part, Job) 2. Inventory, COS and WIP GL Control - Variance Account Account selected on PO Line Release Clearing Account 3. Inventory, COS and WIP GL Control - Clearing Account 3. Inventory, COS and WIP GL Control - Clearing Account 3. Inventory, COS and WIP GL Control - Taxes AP Tax Accrual 1. Tax GL Control - Tax Type 6

AP Invoice Entry - Add Memo AP Invoice Entry - Add Memo Important: You can always change the AP Account GL Control in Memo Entry. Add Miscellaneous Line Expense Account 1. Part GL Control - Part 2. GL Control - 5. Part Class GL Control - Part Class Add Advanced Billing Line Advanced Payment Account Add Header Miscellaneous Charge Expense Account 1. Miscellaneous Charge GL Control - Miscellaneous Charge/ Add Line Miscellaneous Charge No Purchase Order Note: Transaction is seen on AP Invoice Edit List. Expense Account 1. Miscellaneous Charge(Purchase) GL Control - Purchasing Miscellaneous Charge 7

Purchase to the job (PUR-MFG) Note: Transaction is seen on Inventory/WIP Reconciliation Report. Purchase to inventory (PUR-STK) Note: Transaction is seen on Inventory/WIP Reconciliation Report. Purchase to other (PUR-UKN) Note: Transaction is seen on Inventory/WIP Reconciliation Report. Clearing Account 3. Inventory, COS and WIP GL Control - Clearing Account 3. Inventory, COS and WIP GL Control - Clearing Account 3. Inventory, COS and WIP GL Control - WIP Material (or WIP Subcontract) Account 1. Product Group (Part, Job) 2. Inventory, COS and WIP GL Control - Variance Account Account selected on PO Line Release Taxes AP Tax Accrual 1. Tax GL Control - Tax Type 8

AP Invoice Entry - Get DMR Memos AP Invoice Entry - Get DMR Memos Get Memos from DMR Processing Reason Code - DMR Expense Account 1. Part GL Control - Part 2. GL Control - Company Config 9

Invoice/Receipt Match Maintenance Invoice/Receipt Match Maintenance Match Unreceived Invoice Lines to Unmatched PO Receipt Lines Note: A transaction is created only if there is a variance between the PO receipt amount and invoice amount. That transaction can be either a debit or a credit and displays on the Inventory/WIP Reconciliation Report. Purchase to the Job (PUR-MFG) Clearing Account 3. Inventory, COS and WIP GL Control - WIP Material (or WIP Subcontract) Account 1. Product Group (Part, Job) 2. Inventory, COS and WIP GL Control - Purchase to Inventory (PUR-STK) Clearing Account Variance Account 1. AP Account GL Control - 3. Inventory, COS and WIP GL Control - 2. AP Account GL Control - Company Config Purchase to Other (PUR-UKN) Clearing Account Account selected on PO Line Release 3. Inventory, COS and WIP GL Control - 10

Logged AP Invoice Entry Logged AP Invoice Entry Note You can always change the AP Account GL Control in Logged AP Invoice Entry. Add a Logged Invoice Expense Suspense Account Important In Company Configuration, the accounting option is set to Book All to Suspense Accounts. Payables Suspense Account Add Logged Invoice Tax Add a Logged Memo Tax Suspense Account Payables Suspense Account Payables Suspense Account Expense Suspense Account Add a Logged Invoice Expense Suspense Account Important In Company Configuration, the accounting option is set to Account for Taxes. Add Logged Invoice Tax AP Tax Accrual 11

1. Tax GL Control - Tax Type Add a Logged Memo Expense Suspense Account Add a Logged Invoice, Logged Invoice Tax, or Logged Memo Important In Company Configuration, the accounting option is set to Authorization Tracking. Posting has no affect on the general ledger. Posting has no affect on the general ledger. 12

AP Invoice Entry - Get Approved Logged Invoices AP Invoice Entry - Get Approved Logged Invoices Note You always have the option to change the AP Account GL Control at the time of AP Invoice Entry. Important To complete this transaction, a logged invoice must first be approved in Logged Invoice Approve and Void Entry. Match Approved Expense Account Logged Invoices to AP 1. Part GL Control - Part Invoices (Actions menu > Get > Approved 2. GL Control - Logged Invoices) Important: Accounting Option field in Company Configuration is set to Book All to Suspense Accounts. Note: Creates two sets of transactions. Payables Suspense Account Approved Logged Invoice Logged Invoice Expense Suspense Account Approved Logged Invoice Logged Invoice 13

Tax on Matched AP Invoice *Assumes tax was added at the time of Logged Invoice Entry* Note: Creates two sets of transactions. AP Tax Accrual 1. Tax GL Control - Tax Type Payables Suspense Account Tax Suspense Account Approved Logged Invoice Approved Logged Invoice Logged Invoice Logged Invoice Match Approved Expense Account Expense Suspense Account Logged Invoices to AP 1. Part GL Control - Part Invoices (Actions menu Approved Logged Invoice > Get > Approved 2. GL Control - Logged Invoices) Important: In Company Logged Invoice Configuration, the accounting option is set to Account for Taxes. 14

AP Invoice Entry - Get Approved Logged Invoices ( Memo) AP Invoice Entry - Get Approved Logged Invoices ( Memo) Important To complete this transaction, a logged debit memo must first be approved in Logged Invoice Approve and Void Entry. Match Approved Expense Account Logged Memos 1. Part GL Control - Part to AP Memos (Actions menu > Get > 2. GL Control - Approved Logged Invoices) Important: In Company Configuration, the accounting option is set to Book All to Suspense Accounts. Note: Creates two sets of transactions. Tax on Matched AP Memo Expense Suspense Account Approved Logged Memo Logged Memo Payables Suspense Account Approved Logged Memo Logged Memo AP Tax Accrual 1. Tax GL Control - Tax Type 15

*Assumes tax was added at the time of Logged Memo Entry.* Note: Creates two sets of transactions. Tax Suspense Account Payables Suspense Account Approved Logged Invoice Approved Logged Invoice Logged Invoice Logged Invoice Match Approved Expense Suspense Account Expense Account Logged Memos 1. Part GL Control - Part to AP Memos Approved Logged Invoice (Actions menu > Get > 2. GL Control - Approved Logged Invoices) Logged Invoice Important: In Company Configuration, the accounting option is set to Account for Taxes. 16

Logged Invoice Approve and Void Entry Logged Invoice Approve and Void Entry Approve a Logged Invoice or Memo Important: In Company Configuration, the accounting option is set to Authorization Tracking. Expense Account 1. Part GL Control - Part 2. GL Control - 2. GL Control - Suspense Account Approved Logged Invoice Logged Invoice Approve a Logged Invoice or Memo Important: In Company Configuration, the accounting option is set to Account for Taxes. Approve a Logged Invoice or Memo Important: In Company Configuration, the accounting option is set to Book All to a Suspense Account. Expense Account 1. Part GL Control - Part 2. GL Control - Expense Account 1. Tax GL Control - Tax Type Payables Suspense Account Approved Logged Invoice Payables Suspense Account Approved Logged Invoice Logged Invoice Expense Account 1. Tax GL Control - Tax Type 17

Logged Invoice Void a Logged Invoice or Memo Logged Invoice/ Memo transactions are cleared from AP, GL, and AP Tax tables. Logged Invoice/ Memo transactions are cleared from AP, GL, and AP Tax tables. 18

AP Adjustment Entry AP Adjustment Entry Increase or Decrease an Open Invoice Amount 1. AP Account GL Control assigned to posted invoice Enter Account Number Increase or Decrease an Open Memo Amount Enter Account Number 1. AP Account GL Control assigned to posted invoice 19

AP Payment Entry AP Payment Entry Select Invoices for Payment 1. AP Account GL Control assigned to the posted AP invoice Cash Account 1. Bank GL Control - Bank Account Note: If the Reconciled AP Balance check box is selected on the bank record in Bank Account Maintenance, this transaction credits the Pending Cash Account defined in the Bank GL Control instead of the Cash Account. Payment Discount (Set on Invoice) Note: Payment discounts are not taken for miscellaneous charges. 1. AP Account GL Control assigned to the posted AP invoice Payment Discount Account 1. AP Account GL Control assigned to the posted AP invoice Payment Discount Reduces Tax (Populates the Payment Discount Treatment field in Tax Type Maintenance) Terms Discount Reduces Tax (Populates the Payment Discount Treatment field in Tax Type Maintenance) Payment Discount Account 1. AP Account GL Control assigned to the posted AP invoice Payment Discount Account 1. AP Account GL Control assigned to the posted AP invoice AP Tax Accrual 1. Tax GL Control - Tax Type AP Tax Accrual 1. Tax GL Control - Tax Type Add Miscellaneous Payment Add Bank Fee Expense Account 1. Account selected on Payment > Misc Detail sheet Bank Fee Account Cash Account 1. Bank GL Control - Bank Account Note: In Bank Account Maintenance, if the Reconciled AP Balance check box is selected on the bank record, this transaction credits the Pending Cash Account defined in the Bank GL Control instead of the Cash Account. Cash Account 20

1. Bank Fee GL Control - Bank Fee 2. Option to change account on the Payment > Bank Fee sheet) 1. Bank GL Control - Bank Account Note: If the Reconciled AP Balance check box is selected on the bank record in Bank Account Maintenance, this transaction credits the Pending Cash Account defined in the Bank GL Control instead of the Cash Account. 21

Void Payment Entry Void Payment Entry Void an outstanding payment Posted Invoice Cash Account 1. Bank GL Control - Posted Check Payment Instrument (PI) Payable Entry Payment Instrument (PI) Payable Entry AP PI Payment PI Payable Account 1. Payment Instrument GL Control assigned to the Payment Instrument Payable 1. AP Account GL Control assigned to the invoice to which you are applying the Payment Instrument Payable Bank Adjustment Entry Bank Adjustment Entry Important Transaction is reversed when you enter a negative adjustment amount. Adjust a Bank Account Cash Account 1. Bank GL Control - Bank Account Enter Account Number 22

Bank Funds Transfer Bank Funds Transfer Transfer funds from one bank account to another. Important: Creates two sets of transactions. Transfer Account 1. Bank GL Control on the transfer From Bank Account Cash Account 1. Bank GL Control on the transfer From Bank Account Note: Results of a bank transfer use the journal code linked with the Transfer From GL controls for the bank. Note: This transaction uses the journal code linked with the Transfer To GL controls for the bank. Cash Account 1. Bank GL Control on the transfer To Bank Account Transfer Account 1. Bank GL Control on the transfer From Bank Account 23

Bank Reconciliation Bank Reconciliation Add AP Payment Clearing Pending Cash Account Cash Account Note: Transaction only occurs when Reconciled AP Balance is selected on the bank in Bank Account Maintenance. 1. AP Account GL Control assigned to the paid AP invoice 1. Bank GL Control - Bank Account Variance between bank statement amount and posted check amount Note: Transaction is reversed when bank statement amount is more than the posted check amount. Variance Account 1. Bank GL Control - Bank Account Cash Account 1. Bank GL Control - Bank Account Add Transaction Clearing Note: Transaction only occurs when Reconciled AP Balance is selected on the bank in Bank Account Maintenance. Add AP Payment Instrument Clearing Cash Account 1. Bank GL Control - Bank Account Clearing a Payment Instrument Payable does update the Paid status and no transaction is created Pending Cash Account 1. AR Account GL Control assigned to the paid AR invoice Clearing a Payment Instrument Payable does update the Paid status and no transaction is created 24

Additional information is available at the Education and Documentation areas of the EPICweb Customer Portal. To access this site, you need a Site ID and an EPICweb account. To create an account, go to http://support.epicor.com.