Finance Self-Service Page 1 Finance. Introduction…………………………………………………................……3 Requesting access, opening Finance Self Service, Menu Options,

Slides:



Advertisements
Similar presentations
Costpoint Credit Card Training Log In
Advertisements

Yavapai College Self Service Banner Training. Agenda Definition of Key Concepts Log Into Finance Self Service Budget Query Overview Budget Query Procedures.
Hello, my name is Abacus Owl! Ill be popping in throughout the presentation today to see how things are going. Welcome! Please have a seat and login to.
Hello, my name is Abacus Owl! I’ll be popping in throughout the presentation today to see how things are going. Welcome! Please have a seat and login to.
CREATING A PAYMENT REQUEST FOR VENDOR IN SYSTEM
CREATING A PAYMENT REQUEST FOR A NEW VENDOR
DATA WAREHOUSE QueryLink TUTORIAL QueryLink is used to retrieve Campus data for Departmental use. This tutorial presents an overview of the point and click.
General Ledger Fiscal Year End Closing out WELCOME! To the Year End Workshop. During this workshop and presentation, references will be made to.
1 State Records Center Searching and Requesting Inventory  Versatile web address:  Look for any new ‘Special.
1 Self Service Banner Advanced Budget Queries MTSU Business Office.
CARDHOLDER QUICK REFERENCE GUIDE FOR SDG2
GALVESTON COUNTY, TX P-CARD TRAINING GALVESTON COUNTY.
FAMIS TRAINING The Basics. Basic FAMIS Training (Logging on & off, & basic screens.)  Before beginning this training you must request your user id and.
PantherSoft Financials Smart Internal Billing. Agenda  Benefits  Security and User Roles  Definitions  Workflow  Defining/Modifying Items  Creating.
Banner Finance Training For the End User At MSU-Northern.
Internet Native Banner (INB) Training Presented by: Chad Mullis Carol Rozell Alan Thomas Internet Native Banner (INB) Training.
The Web-Based Financial Reporting System This session is intend to familiarize you with our Web- based financial reporting system. The best way to learn.
Yavapai College Banner Finance Budget Development Self Service Training Manual.
WISDM for Grants Management Last Updated: October 2011.
TFACTS Private Provider Financial/Invoicing Overview 1.
6 th Annual Focus Users’ Conference 6 th Annual Focus Users’ Conference Accounts Receivable Presented by: Robert Myers Presented by: Robert Myers.
Welcome Finance and Budgets on CUWeb. What is CUWeb? Like the formerly known Web for Students or Web for Faculty, it is a web self-service unit that links.
1 Self Service Banner FOAP AND NAVIGATION Fall 2005 Ver 7.1 Presented by the Auburn University Business Office.
1 Shared Financial Systems WISDM2 Difference Training October 2006.
1 ONE TIME PRINT SETUP To print Requisitions from Banner, follow this process once: Open Microsoft Excel, select (1) TOOLS, then (2) MACROS, then (3) SECURITY.
TAMS DataStore Reports 0 Basic Navigation FY## Invoice Audit by Organization and Account Open Purchase Orders by Cost Center Open Encumbrance Summary Report.
BANNER FINANCE OVERVIEW Reconciling to Banner. Access to Banner Finance Access to Banner Finance is needed to: View a department’s financial activity.
ARCHIBUS Log On Instructions. Log Into ARCHIBUS Web Central Log In Screen 1.Open your Internet browser. 2.Enter the URL to view the ARCHIBUS Login Page.
NextGen Trustee Department Disbursements This class will cover the various methods of handling department disbursements. Whether entering them manually.
1 Web for Employee - Finance Contacts: Accounts Payable-Purchase Orders: Peg Pierangeli ext Brenda Miller ext Budgets.
System for Administration, Training, and Educational Resources for NASA SATERN Overview for Learners May 2006.
BUDGET DEVELOPMENT Budgeting for Operations 1. –Budget 4% admin fee on designated indexes in account code 62889A –Please try to budget as close to actuals.
Financial Accountability through the ease of Self-Service and Internet Native Banner.
Banner Web for Finance Want to print reports for your department? Need reports for a specific period? Want to compare this fiscal year to the last fiscal.
1 OPOL Training (OrderPro Online) Prepared by Christina Van Metre Independent Educational Consultant CTO, Business Development Team © Training Version.
MyFloridaMarketPlace Analysis Tool Training. Page - 2 Agenda  Introduction  Analysis Data loads  Creating Analytical Reports  Exporting Reports 
General (Add/Edit General Ledger Accounts) The Add/Edit General Ledger Accounts screen allows you to: Add new or maintain existing GL Accounts View/edit.
TAMIU Systems 101: What’s in my account? Navigate FAMIS-Canopy to get answers. by The University Comptroller’s Office for TAMIU Enrichment Day ( )
State of Kansas Travel Authorizations Statewide Management, Accounting and Reporting Tool Entering a Travel Authorization Navigation: Employee Self Service.
Page 1 Non-Payroll Cost Transfer Enhancements Last update January 24, 2008 What are the some of the new enhancements of the Non-Payroll Cost Transfer?
BANNER TRAINING FOR DEPARTMENT HEADS SELF SERVICE AND BANNER ADMIN.
How to reconcile department ids. Finding answers to what is that? How did it get there? What do I do now? 1.
If you would like to log into Banner Test and follow along: o Log into MyBSU o Select Departments o Select Administrative Systems o Select Banner o Select.
PestPac Software. Pay On Commission Commission can be paid on Production, Receipt, or Up-Front. Production: Commission will be paid when work is completed/an.
Montgomery College Basic Banner Self Serve Query Training.
Invoices and Service Invoices Training Presentation for Raytheon Supply Chain Platform (RSCP) April 2016.
Banner Finance Training Interactive Reporting Training.
BANNER FINANCE OVERVIEW Reconciling to Banner. Access to Banner Finance Access to Banner Finance is needed to: View a department’s financial activity.
1 Logging into the new PCard (PaymentNet) System: PAYMENTNET * Introduction * May use IE 8.0 or greater or Firefox * Do not.
1 Banner Finance User Training Beginners Guide to SSB Budget Queries Banner Finance User Training.
Financial Reporting In Peoplesoft California Maritime Academy Data Warehouse Training Fiscal Year 2011/2012.
Invoices Training Presentation for Supply Chain Platform: BAE Systems May 2015.
Budget Manager Web. Logging In Open a web browser and log in to the school web site.
NextGen Financial Management Transactions & Account Inquiry Presented by Local Government Corporation Resource 2016 Presented by Local Government Corporation.
NextGen Trustee GL/Accounting This class will cover NextGen Financial Management for Trustee Offices. We will look at GL accounts, Transactions, Bank Reconciliation,
Emdeon Office Batch Management Services This document provides detailed information on Batch Import Services and other Batch features.
Budget.
RU Informed Finance Conference
Travel Authorization -step by step-
Expense Report Training
Brought to you by the Budget Office
BANNER FINANCE Budget Sue Miller Director of Budget
Welcome to Banner Self-Service Finance Training!
Research Grants Financial Reporting
New MyFD JV Feature Demo Webcast August 1, 2018
Expense Report Training
Business Officer Training Program
Spectrum Finance Premiere
Expense Report Training
“All About Me” Staff Development Day
Presentation transcript:

Finance Self-Service Page 1 Finance

Introduction………………………………………………… ……3 Requesting access, opening Finance Self Service, Menu Options, Charts, FOAP Elements Budget Queries………………………………………………………………6 Budget Queries, Budget Status by Account, Budget Query by Organizational Hierarchy, Budget Quick Query Downloading Data…………………………………………………………..14 User Calculated Columns………………………………………………….15 Saving Query Parameters……………………..…………………………..16 Encumbrance Queries……………………………………………………..17 View Document………………………………………………………………18 Page 2 Contents

Finance Administrative System has two components: Finance Self Service (FSS): Query database for financial information. Internet Native Banner (INB): Update, enter, and look at financial information. Attendance at the training classes presented by the Budget Office is required before access will be given to FSS. To open FSS Log in to MYXU with your Xavier User ID and password. Go to Quick Links and click on Banner Self Service OR Click the Employee Services tab Go to the Finance Channel and click on Finance Main Menu MYXU logs out after 30 minutes of inactivity. You will be prompted before an automatic log out and can chose to continue your session. Introduction Page 3

What can I do with Finance Self-Service? FSS is a tool for quickly finding data stored in the finance database in INB (Internet Native Banner) In FSS you can Create Queries View Documents Queries: Queries are searches for data using specific parameters. For example: Budget Queries are created by account, organization, or as Quick, and can be refined with a range of parameters such as Fiscal Year. In FSS, Queries can be created and saved as templates (see page 16). Query results can be viewed but not changed. FSS is for looking up (query) not updating information. FSS Main Menu Options Each option is covered in this document. Budget Queries Encumbrance Query View Document Delete Finance Template Financial data is recalled from the finance database with codes indicating a Chart, FOAPAL or Index. FSS Navigation Access FSS options from the Finance Main Menu (pictured here) or from links at the bottom of the screen. Links at the bottom appear on every screen. Navigate using forward and back browser buttons. Return to the Main Menu from anywhere in FSS by clicking the Finance tab or by clicking on the Return to the Main Menu link at top right. To close FSS and return to the portal, click on the red X to close the screen Log out AND close the browser when finished. Introduction Page 4

Charts: Xavier uses chart X Data is recalled from a Chart by entering a FOAP or an Index. An Index is a shortcut to the FOAP data. Note: The FOAP can be used to create queries, but require that both the org and the fund be entered. The same data can be recalled by entering a single Index, which then populates the FOAP fields. What is the FOAP? FOAP is an acronym representing the Chart of Account elements. F=Fund, O=Organization, A=Account, P=Program. Each element is a set of identifying codes. An INDEX is a five or six digit shortcut to the FOAP. When the Index is entered on a query, the FOAP element fields are automatically populated. To access financial information in FSS: Specify the Chart of Accounts and Enter an Index (FOAP fields will fill). Note: When submitting a query, Indexes are not saved with templates or documents. Only FOAP values are saved. If you submit a query with an Index, the information will be overwritten by the next query. FOAPS Fund is the funding source. Examples: Tuition, Gifts, Auxiliary Enterprises, Student Club. Organization is the organizational unit responsible for financial activity within the code. Org is your department Account classifies revenues and expenditures by type and spending categories. Revenue account codes are codes for the types of revenue received, such as tuition or auxiliary sales revenue. Expenditure account codes are codes for the types of expenditure, such as salaries or supplies. Program is the major purpose of expenditures. This as an additional identifier. Program codes accumulate expenditure information into major categories such as instruction, research, and academic support. Our program codes follows NACUBOs program structure. Index is a short cut to the FOAP. Introduction Page 5

Budget Queries To open, from the Main Menu select the first option, Budget Queries. Three Types of Queries: Budget Status by Account Look up budget information for one organization or grant – this is the quickest way to get transaction details. You will not get a good available balance for any fund or org with structured budgets in the system. Budget Status by Organizational Hierarchy This will give you the available balance for any org or fund with structured budgets in the system. Budget Quick Query This is similar to Budget Status by Account. However the choice of ledger columns is fixed. Quick Query shows only Adjusted Budget, Year to Date, Commitments and Available Balance. You will not get a good available balance for any fund or org with structured budgets in the system. Use the Finance Tab or the MENU link on the top right or the links at the bottom of the page to return to the main menu from Query menus. Budget Queries Page 6

Budget Status by Account Use this to look up budget information for one organization or grant – this is the quickest way to get transaction details. Select the Budget Status by Account from the drop down menu. Click Create Query. Select Operating Ledger Columns to display. Reference table at right for list of fields and what data they will supply. Ask: What information do I need? What questions have I been asked to supply? The recommended choices are Accounted Budget, Year to Date, Encumbrances, and Available Balance. Click Continue. Adopted BudgetBudget at beginning of Fiscal Year Budget AdjustmentTotal of additions or reductions-temporary and permanent-since original budget load. Adjusted BudgetCurrent Budget. Total of all transactions. Temporary BudgetTemporary Adjustments – will not roll to next fiscal year. Accounted BudgetOriginal Budget plus or minus adjustments. System generated column. Drill down to see details. Year to DateActual posted revenue and expenditures. EncumbrancesFunds committed for future payments-amount generated by purchase orders. ReservationNot used at Xavier CommitmentEquals total set-aside for future obligations. Available BalanceRemaining Budget balance. Total Budget plus or minus Year To Date activity and Commitments. Only good in Budget Status by Organizational Hierarchy. Operating Ledger Columns Choices and Descriptions Budget Status by Account Page 7

Budget Status by Account After selecting Ledger Columns, click Continue. The next screen that opens is used to define the parameters of the data to be retrieved. Required: Choose Fiscal Year and Period from the drop down menus. Required: The letter representing the Chart of Accounts: X Enter the Index and click Submit Query – the Index generates the FOAPAL codes. Note: this is the Best Practice Method. Using the Index requires only knowing one code, whereas entering all of the FOAPAL elements would require knowing four codes. Remove Program code and click on Include Revenue. Click on Submit Query. This is where you can Name and save your Query. It is recommended that you save it as a Personal Query Budget Status by Account Page 8

ReqdFieldDescription XFiscal YearJune 1 to May 31. Default is current year. XFiscal PeriodNumber of fiscal months to be included in the query. To include April, select 11 not 04. All transactions before and during the period will be included. Queries cannot be generated for a single month. So if you choose period 03, the results will include all transactions for period 01, 02, and 03. Also Period 14 is the last period used to close the fiscal year. So when querying on previous Fiscal Years be sure to select fiscal period 14 to get year end totals. Comparison Fiscal YrPrior year to compare with current choice of Fiscal Year. Comparison Fiscal PeriodPrior period to compare with current choice of Fiscal Period. XChart of AccountsThis must be X XIndexEnter Index, click Submit Query to populate Fund, Org and Program fields FundSource of funding – populates when Index is entered. ActivityNot used by Xavier University OrganizationDepartment/Division or budget unit responsible and accountable for transactions. Populates when Index is entered. LocationNot used by Xavier University GrantGrant identification number. Only required when viewing Grant Inception to Date information. Other FOAP code numbers must be removed before submitting a grant query. Fund TypeHigh level Summary of Funds by Category. AccountDescribes revenues and expenditures. Can be used to query on transactions in specific account codes. Account TypeHigher-level category of account if rollup or consolidation are needed. ProgramProgram Code. Used to track use of funds. Populates when Index is entered. Usually should be removed before submitting query. Note: To find similar Account codes, use a wildcard. E.G.: 712% will show all Accounts starting with 712. Reference the website for a complete list of accounts. This is a list and explanation of the Parameters you can choose. An X in the first column means that this is a required parameter. Budget Status by Account Page 9

Query Results The Accounted Budget column is the total budget. Year to Date is the actual revenue and expenditures posted to your fund. Encumbrances is money set aside for salaries and purchase orders. Pooling for accounts is not available on this option, therefore there is no good available balance calculation. So you will not get a good available balance for any fund or org with structured budgets in the system. Three levels of detail are available: Clicking on a column figure opens a Transaction Report. In the example, for Account , clicking the figure in the Year To Date column opens the Transaction Report. Clicking the Document Code on the Document List Screen (in the example it is I006243) opens a Detail Transaction Report. Clicking the Document Code on the Select Document screen opens View Document. This example shows an Invoice. Queries display 15 lines per screen. Next and Previous buttons indicate additional records in the query. Budget Status by Account Page 10

Budget Status by Org Hierarchy This will give you the available balance for any org/fund with structured budgets. Create a New Query Select Budget Status by Organizational Hierarchy from the drop down menu, and click Create Query. Select Operating Ledger Columns to display. Recommended choices: Accounted Budget, Year to Date, Encumbrances, and Available Balance. Click Continue. The next screen that opens is used to define the parameters of the data to be retrieved. Required: Choose Fiscal Year and Period from the drop down menus. Required: The letter representing the Chart of Accounts: X Enter the Index and click Submit Query – the Index generates the FOAPAL codes. Note: this is the Best Practice Method. Remove Program code and click on Include Revenue. Click on Submit Query Note: See pages 7 and 9 for tables describing Operating Ledger Data columns and parameters. Budget Status by Organizational Hierarchy Page 11

Query Results These levels of detail are available: 1.Status Report: shows organizations and sub-organizations. The sample Report shows Demo Org. 2.Clicking shows all Account Types. The example shows 50, 60 and =Revenue, 60 & 70=Expenses. Reference the website for a complete list of Account Types. 3.Clicking 70 shows all Types of Expenses. The example shows 7A through 7Z. Here you see a good available balance for the pools. (see next pg). 4.Clicking on 7D shows details of Operating Expenses. Any documents shown on this screen can also be opened from the View Documents feature. Budget Status by Organizational Hierarchy Page 12

Budget Quick Query Similar to Budget Status By Account, but the choice of ledger columns is fixed. Quick Query shows only Adjusted Budget, Year to Date, Commitments, and Available Balance. Limits of Quick Query Ledger Columns are set by default No drill down options Cannot download data No custom calculations You will not get a good available balance for any fund or org with structured budgets in the system. Budget Quick Query Page 13

Downloading Data Query results can be downloaded to an Excel spreadsheet. When the message window appears click Open. After the file downloads, select File, Save As and name your file with a title representative of the data, i.e. put fund or org number in the name as well as the date. Click the SAVE AS TYPE: down arrow to open the drop down menu. Select the Microsoft Excel 97 option. Make sure you review the Save in window at the top of the save box. If what is displayed is NOT where you want the file saved you must change the path. Now you can open Excel and open the file you just downloaded and saved. Choices for Download: Download Selected Ledger Columns downloads only columns selected on the Operating Ledger Data Column screen. Download All Ledger Columns downloads all available operating ledger amounts for the period entered. Downloading Data Page 14

User Calculated Columns Feature The User Calculated Column is a new feature not available in Finance INB. You will find this feature on the results of queries from Budget Status by Account and Organizational Hierarchy. This feature allows the user to create a new column that is a result of doing calculations with two columns that are part of the query results. Any two columns can be added, subtracted, multiplied, divided or compared by percentage. Columns may be removed, saved, or added from a query or template at any point. To remove a column from a saved template first remove the column and then save the template again. Creating Calculated Columns Begin by selecting two columns and an operator. The example shown here adds (plus=Operator) the Year to Date (Column 1) to the Encumbrances (Column 2). Note: select the placement of the new column in the Display After Column drop down, Name the new comparison column to make it easier to identify. Click Perform Computation Click Remove Computation to remove the new column from the query. Note: Computed columns do not download to Excel. A New calculated column is added to the query. User Calculated Columns Page 15

Saving Query Parameters Saving frequently used queries as templates saves time in the future when you want to access the same information. While queries can be saved from any screen only selection criteria entered up to that point will be saved. Templates should be saved as personal. Personal templates are accessible by the creator and shared templates are accessible to all. Saving a Query Template Name the Query Click Save Query As A message will confirm the query has been saved. Retrieve Existing Query Click on the query you want to retrieve from the drop down list Click Retrieve Query Delete a Query Template Enter the template name or select it as above Click Submit Query Click Delete to permanently delete it from the list of choices. Note: To prevent accidentally overwriting an existing template, a warning message displays that a file of the same name already exists Saving Query Parameters Page 16

Encumbrance Queries This Query Type will result in a list by account number of all active encumbrances in the FOAP selected. This feature is best used for the current fiscal year. When you click on the encumbrance query option a screen opens with parameter selections similar to the Budget Status Query. Select the Fiscal Year and Fiscal Period Enter your Fund or Org in the Index Field Click on Submit Query Following are descriptions of the fields displayed: Account is the account # the PO is expensed against Description is Vendor Name Original Commitments is the original encumbered amount. Encumbrance Adjustments are any increases/decreases to original encumbered amount. Encumbrance Liquidations are any changes to encumbered amount from payments. Year to Date is total amount paid to date for the document. Current Commitments is amount currently encumbered for the document code. From the resulting Summary Report, select Document Code to view distribution information Select the Document Code again to View Document Encumbrance Queries Page 17

View Documents When you need this level of detail it is best to drill down from Budget Status Query or Organizational Hierarchy Query. In order to use this feature easily, it is best to have your document numbers. Select the Document Type from the drop- down menu. Enter the Document Number. (If you do not know the Document Number use the Document Lookup and enter a wildcard (%) in the number field.) Select View Document. Note: Only documents in your Funds/Orgs will be accessible. Use the Back button to return if document results do not display. Related documents such as Check Numbers can also be displayed. The original document will be displayed. I.E. the document as it was originally entered into the system. So for a PO you will see: Who requested it Vendor Info Commodity/Service description The FOAP it was charged against View Documents Page 18