Posting of Sub Contracting Invoice in AP System

Slides:



Advertisements
Similar presentations
ORDER VERIFICATION ORDER ENTRY DAILY PROCESS ORDER VERFICATION - Order Sort Browse - Enter Order # - F-8 OK.
Advertisements

CaterTrax Tutorial
CREATING A PAYMENT REQUEST FOR VENDOR IN SYSTEM
GFEBS Entering an Invoice, FB 60 Commercial Vendor Services (CVS)
End Of Year Elluminate Session. All Standard PO’s must be RECEIVED ONLINE AND SENT TO A/P. A shipping line needs to be included on the original requisition.
Administrative Support Workshop January 16, 2014.
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.
Vendors and Purchases Controlled Online Accounting.
Implant Purchase Management
Accounting Information Systems System Descriptions.
YEAR END CLOSING PRESENTED BY ACCOUNTING AND FINANCIAL REPORTING THE Accounts Payable Group.
Procurement Card Process and Data Recovery Joanne Des Roche, CA Manager, Accounts Payable June
Slideshow 4A Accounts Payable Transaction Processing Part 1.
ENCOMPASS Voucher Build Process
System Descriptions. What we will do today… Today, we will describe the billing and cash receipts systems of a simple company The points to think about.
Agency (BU) Approver Training State of Indiana Instructor: Brian Woods.
WELCOME BACK PRESENTED BY ACCOUNTING AND FINANCIAL REPORTING THE Accounts Payable Group.
Slideshow 6 Accounts Payable Transaction Processing Part I 5.2.
How to Create a Non-Catalog Requisition
Customers and Sales Controlled Online Accounting.
CREATING A SAVINGS ACCOUNT. 2 The client is approved The client account is created in the system Before proceeding, make sure that…
Budget Basics for Managers. Purchasing Requisition-A request to purchase goods or services. PO-Approval to purchase goods or services on behalf of the.
Buy A&M Punch-out and Contract Shopping. Table of Contents Overview of Buy A&M and Navigation within the System (pg. 3-6) Punch-outs (pg. 7-17) Quick.
MS Invoice E-Invoice Solution Overview March 2016.
PEOPLESOFT 101 October 27, INTRODUCTION The detailed business process for reconciling/approving PCard transactions (including uploading documentation)
Guide To Reconcile Sales Tax Updated September 2014
Resolve Invoice Exceptions
Collision Repair Refresher Training Program
Chapter 22 Procurement Cycle and Documents
Create a PO-Based Invoice
PROCESSING A PRE-ENCUMBRANCE DOCUMENT ON-LINE TRAINING
Standard Operating Procedure
Accounts Payable Workflow
© 2014 Cengage Learning. All Rights Reserved.
Problem 9-3, Page 473 Key Control, Control Test Evaluation
John Gillis KASBO Conference – April 2017
AppleOne Timecard Procedures Contract Associate Time Invoice
Procurement Process 1/20/2016 cl.
Educational Session Presented by Joni Welling
PURCHASING ACCOUNTS PAYABLE & CREDIT CARDS
Getting Started with Vendor Pay Requests
PO INVOICE ENTRY Creating a PO Invoice Let’s Get Started
The Steps of the Accounting Cycle. The Accounting Period  Accounting records are summarized for a certain period of time, called an accounting period.
Texas Instruments Supplier Portal- Web Invoice Overview
SAP Presentation Accounts Receivable 3/31/2016MAHESSUNDARAM WEPL CHENNAI PLANT1.
Routing Queues & Identifying Approvers
© 2014 Cengage Learning. All Rights Reserved.
Invoicing: Resolve Invoice Exceptions
New MyFD JV Feature Demo Webcast August 1, 2018
Maintain and Reconcile Intercompany Transactions
NEXTGEN ACCOUNTS pAYABLE
© 2014 Cengage Learning. All Rights Reserved.
MNAO Workflow Requisitions, Check and Wire Request Forms
Dynamics GP Purchasing Suite Modules
Accounts Payable Reports & Processes
© 2014 Cengage Learning. All Rights Reserved.
The Causeway Company uses the following procedures to process the cash received from credit sales. The mailroom receives checks and remittance advices.
Two methods to observe tutorial
© 2014 Cengage Learning. All Rights Reserved.
Chapter 5 – Posting to a General Ledger
MEANINGS SAP – Sales Application & Products. ECP – Enterprise Content Production. ECT – Enterprise Content Training. OEP – Object Repository Server PTM.
Two methods to observe tutorial
LESSON 9-2 Accounting for Merchandise Purchases
The Causeway Company uses the following procedures to process the cash received from credit sales. The mailroom receives checks and remittance advices.
Utility Billing Balancing the Accounts Receivable
© 2014 Cengage Learning. All Rights Reserved.
Controller’s Office – General Accounting AP Upload March 6th, 2019
Accounts Payable Section 4 – Petty Cash, Expense Report,
Annual Physical Inventory Procedures
Section 6 – Attach Invoice Image & Submit Batch Report
Presentation transcript:

Posting of Sub Contracting Invoice in AP System Standard of Procedures: 1. Upon receiving invoice from sub contractor, branch to stamp receiving date on the invoice. 2. Branch to verify and post all sub contracting invoices for their respective branch except invoices with value per invoice above RM 1,000. 3. Branch Head is authorized to approve sub-contracting invoices up to RM1,000 per invoice. 4.Branches are required to obtain approval from After Sales HQ for sub-contracting invoices above RM1,000. After approval, HQ After Sales is to send the invoices to Financial Accounting & Taxation department for posting. 5.Branch Head to approve all invoices on the audit trail report instead of individual invoice. 6.Branches are required to batch all posted invoices, sorted by invoice number (reference number) and submit to Financial Accounting & Taxation department on a weekly basis together with the batch cover and duly approved audit trail report. 7. If there is any error occurred or found after posting done, such as wrong invoice date, vendor code, amount, invoice number or etc. Branch Head is required to inform Financial Accounting & Taxation Department Manager via email and stated the detail of error together with the SAP Document Number. 8. Reversal of documents will be done (if required) by Executive Financial Accounting & Taxation after obtain approval from the Manager. After reversal the invoice must be Re-Post with the correct information and follow the earlier steps. 9. Branch Head to review the Gross Profit margin for each sub-con job via transaction code YI1007 – Sub Con GP report. This report will show invoices with GP below a certain percentage set by the management.

Step 1 Click at basic data ; At following column, Invoice Date : Key in sub con invoice date (Not the date of the acknowledgement slip) Reference : Key in the vendor invoice no. Example 1618, c2424 or INV018206 Posting Date : Current Date Amount : Key in invoice value

Step 2 Click at Payment; Pmnt Term : Key in 0060

Sublet order no Step 3 Click at Details; At the following column, Bus. Area : Key in Branch /Location Code PO reference : Key in sublet order form order no.

Vendor name & Address Step 4 To check the vendor name against fiscal invoice and ensure it is correct.

Step 5 Simulate

Amount Business Area Step 6 Make sure Business Area and Amount posted is correct. Then click Save to post the invoice

Step 7 Write down the document number on the top right of the vendor invoice

Steps to generate the audit trail report Transaction Code: FBL1N – Account Payable > Display Line Items Steps At following Column; Enter Vendor Code : 7 digit; Example: 1400175 Company Code : 1000 Dynamic Selection - Enter Posting Date Click at Open items Open at key date : Current Date List of Output : /Branch 1 Service Exec / Branch Head should verified and approved at the last page at the Total value of the audit trail report before send to Financial Accounting & Taxation Department for payment.

Enter Vendor Code : 7 digit; Example: 1400175 Company Code : 1000 Click at Open items Open at key date : Current Date

Click Dynamic Selection Enter > Posting Date Dynamic Selections Click Dynamic Selection Enter > Posting Date

Scroll Down Type - Normal Items List of Output : Click - > Selection option

Select variant- > /Branch 1

Execute

Display & Print

To generate Sub Contractor work Gross Profit Report YI1007 – Sub Con GP Report

Sample of sub-con GP report