Prerequisite: Bank statement file loaded from bank.



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Module File Name Version 1.0 Accounts Payable Document Generation 8/7/2006 Date Date Modified 10/15/2009 2_11_1 Automatic Reconciliation Process_BUSPROC.doc Prerequisite: Bank statement file loaded from bank. Concept: The State of Georgia will support automatic and manual Bank Reconciliation methods of PeopleSoft. Bank Reconciliation is the process by which your cash transactions are reconciled with the bank s records for a specific bank account. Each agency must choose either automatic or manual reconciliation method for each of their bank accounts. Once the agency has received their bank statement or is familiar with their banking cycle for each month, the agency will initiate the PeopleSoft bank reconciliation process. Additional Information The following instructions contain sample data. Always use your own data when using these instructions.

Procedure Scenario: You have received your monthly bank statement and need to reconcile the account. You must verify that the statement has been loaded into PeopleSoft and you will need to run the process. Note: Before performing the Automatic Reconciliation process, you must obtain the following reports or queries. Use the query version if you wish to export the data to Excel. 1. Account Register Report, which lists all PS payment activity processed for a specific bank account. (Crystal Report FIN4004 or Query FIN3004) 2. Bank Statement, which lists bank transactions loaded into PS. (Crystal Report FIN4000 or Query FIN3000) 1. Click the Banking link.

2. Click the Reconcile Statements link.

Click the Manual Reconciliation link. 3.

4. The Manual Reconciliation page enables users to manually reconcile transactions such as System checks, Manual checks, Wire transfers, EFT payments and Deposits. The Account Register Report can also be obtained from the Manual Reconciliation page. Press [Enter] to continue.

5. Click in the Bank ID field.

6. The Bank ID is the bank's routing number. Enter the appropriate information into the Bank ID field. Type 061 (to enter 061000104) Tip: For this exercise, the complete field value will auto-populate once you type in the specific text.

Click in the Account # field. 7.

Enter the appropriate information into the Account # field. 8. Type X88 (to enter X8800000534). This is a sample account number used for training purposes. Tip: For this exercise, the complete field value will auto-populate once you type in the specific text.

9. Click in the From Date field.

10. Enter the appropriate information into the From Date field. Type 09/ (to enter 09/01/2009) Tip: For this exercise, the complete field value will auto-populate once you type in the specific text.

11. Click in the Thru Date field.

12. Enter the appropriate information into the Thru Date field. Type 09/ (to enter 09/30/2009) Tip: For this exercise, the complete field value will auto-populate once you type in the specific text.

13. The Status must be 'Unreconciled' in order to receive a list of all unreconciled payments. Press [Enter] to continue.

14. Click the Search button.

15. If the bank account is defined as Automatic Reconciliation and the account is displayed by the Manual Reconciliation page, you will receive a warning. Click the OK button.

16. Click the right scroll bar to view the bottom portion of this page.

17. Click the Account Register Report button to view and print the Account Register.

18. Click the OK button.

19. Click the Process Monitor link to view the report.

20. Click the Refresh button until the Run Status is 'Success' and the Distribution Status is 'Posted'.

21.a Click the Details link to view or print the Account Register. 21.b Click the View Log/Trace link 21.c Click the FIN4004-_XXXX.PDF link to Open the Account Register Press [Enter] to continue.

22. In order to view and print the Bank Statement and run the Automatic Reconciliation process, click the Automatic Reconciliation link.

23. Automatic reconciliation can only be performed after the bank files have been loaded into the PeopleSoft system. Only System checks, Manual checks, and Express checks can be automatically reconciled. Press [Enter] to continue.

24. If navigating from the Manual Reconciliation page, the Bank ID (routing number) and Account # fields will automatically populate. Press [Enter] to continue.

25. Click in the drop down for the *Date field. Statement As Of Date

26. Select the Date Statement Loaded Option Date Statement Loaded

27. The current date defaults in to the From and Thru fields. Click in the From field. 10/14/2009

28. Enter the appropriate information into the From: field. Type 09/ (to enter 09/01/09) Tip: For this exercise, the complete field value will auto-populate once you type in the specific text.

29. Click in the Thru field. 10/15/2009

30. Enter the appropriate information into the Thru field. Type 09/ (to enter 09/30/2009) Tip: For this exercise, the complete field value will auto-populate once you type in the specific text.

31. Click the Search button.

32. The Stmt ID, Load Date and Time are populated from the bank file. Press [Enter] to continue.

33. The Trans number is the number of checks contained in the bank file. Press [Enter] to continue.

34. When the statement is retrieved the Reconciled field will be 0. Press [Enter] to continue.

35. The status of the file will default to Ready when the file is received. It will change to Complete when the total number of Trans equals the total Reconciled. Press [Enter] to continue.

36. Click the Select box to run the automatic reconciliation process and to run reports.

37. Click the Reports drop down list.

38. To run Crystal reports, select Register to view and print the Bank Statement prior to running the Bank Recon process. Click the Register list item.

Click the Run Report button. 39.

40. Click the OK button.

41. Use the Process Monitor link to view and print reports. 42. 43. Press [Enter] to continue. Click the Select option. Click Run Recon button to initiate the automatic reconciliation process. 44. Notice the Status has changed from 'Ready' to 'Selected' when the process is initiated. Click the Process Monitor link. 45. Click the Refresh button until the Run Status is 'Success' and the Distribution Status is 'Posted'. 46. Click the Go back to Automatic Reconciliation link.

47. Notice that the Reconciled field has been updated. Click the Exceptions links to review the online exceptions. 48. This page displays the Exceptions detected by the automatic reconciliation process. There are several different types of exceptions: Amounts not Equal are transactions that cleared the bank at a different amount than that posted in PeopleSoft. Not Found in System indicates that the payment reference that was found in the bank file did not match a payment reference recorded in PeopleSoft. This could indicate a manual payment not posted or that the bank did not read the payment reference number as it was recorded in PeopleSoft. Trans Date > Value Date shows transactions that cleared the bank prior to the payment reference date that was recorded. Press [Enter] to continue.

49. Any transactions that do not perfectly match can be corrected or forced to reconcile on this page or on the Manual Reconciliation page. These transactions should be researched prior to forcing the recon status. Payment reference types of Wire, EFT, and, Deposits must be manually reconciled. Transactions should be marked as reconciled if all of the payment information matches the bank statement. Press [Enter] to continue. 50. Use the Run Report button to generate the Exceptions, Errors, and Account Register Crystal reports. Once this option is selected the report may be retrieved by clicking the Process Monitor link. Press [Enter] to continue. 51. You have successfully completed the Automatic Reconciliation Process topic. End of Procedure.