AR to Finance Daily Reconciliation

Slides:



Advertisements
Similar presentations
Using Other Accounts in QuickBooks
Advertisements

Working with Bank Accounts
Making the FUPLOAD Process Work
Pennsylvania BANNER Users Group 2006
Pennsylvania BANNER Users Group 2007
Pennsylvania BANNER Users Group 2007 John Ginty Drexel University ASP Financial System Administrator.
1 DIVISION OF FINANCE Committed to Service Excellence Payment Card Approval Procedure Step 1. Bookkeeper gets receipts from cardholder & reallocates transactions.
Lauren Bonilla Entech Rental Management Software Navigate 08: Charting Your Course for the Future Bank Reconciliation.
Visualize Success 2011 Alan Chorney Professional Services Visual South, Inc. Use Excel to Extract Accounting Data.
General Ledger Fiscal Year End Closing out WELCOME! To the Year End Workshop. During this workshop and presentation, references will be made to.
CIMS FMS. CIMS Navigation Tips Function keys Working with spool files/ jobs CIMS navigation.
What’s New and “Under Construction “ in Accounting Presented by: Nancy Ross.
Processing Finance Corrections October 27, What’s the Difference? JD1 Processed by Department using Banner form FGAJVCM Only for corrections between.
PantherSoft Financials Smart Internal Billing. Agenda  Benefits  Security and User Roles  Definitions  Workflow  Defining/Modifying Items  Creating.
Funds Integration and Reconciliation Presented by: Rhonda S. Allen, Product Manager 1:00 – 2:00 pm Wednesday, April 6, 2005.
Imagination at work. See tutorial regarding confidentiality disclosures. Oracle e-Business Suite Oracle Receivables for Beginners Csilla Noé Attila Ábel.
NextGen Trustee Reports This class will review NextGen Trustee reports and how to run them. We will cover which reports are best suited for various needs.
SCT Banner Accounts Receivable Overview
6 th Annual Focus Users’ Conference 6 th Annual Focus Users’ Conference Point of Sale Presented by: Natasha Leon Presented by: Natasha Leon.
Journal Vouchers H’s and I’s and J’s OH MY!. Journal Vouchers H’s and I’s and J’s OH MY! H type JV’s are used to... Reallocate transactions within an.
Billing And Accounts Receivable - non-sponsored. Agenda Overview of A/R at UVM Definitions Responsibilities Bill Creation Monthly Processes Payments Customer.
1 DL Reconciliation WVASFAA Fall Conference October 28, 2010 Dianne Sisler.
CES Reconciliation Refresher. The ADP Benefits Clearing account/ was created to relieve payroll liability accounts within the same accounting period.
6 th Annual Focus Users’ Conference 6 th Annual Focus Users’ Conference Accounts Receivable Presented by: Robert Myers Presented by: Robert Myers.
Releasing Refunds Presented by Antonio Trepesowsky
Billing for Departmental Users
Banner Financial Aid Automated Electronic Loan Return.
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.
Processing Student Payment via Cashiering Employee Self Service.
Print your own budget reports You can do it!!. Your Budget Report Consists of the Budget Status Report and the Organization Detail Activity. These must.
Tips and Tricks for the Accounts Receivable Feed to Finance
1 Self Service Banner FOAP AND NAVIGATION Fall 2005 Ver 7.1 Presented by the Auburn University Business Office.
Accessing BANNER. From “Benefits” Tab, Click on “Internet Native Banner”
Nextgen Bank Reconciliation Resource Bank Reconciliation Menu Financial Management Bank Reconciliation –Import Bank Statements –Reconcile Bank Accounts.
BANNER FINANCE OVERVIEW Reconciling to Banner. Access to Banner Finance Access to Banner Finance is needed to: View a department’s financial activity.
NextGen Trustee Department Disbursements This class will cover the various methods of handling department disbursements. Whether entering them manually.
FlexGen Trustee Review Class In this session we will review dashboard receipting, troubleshooting day end issues, pitfalls of assessment changes, adding.
Zortec Fiscal Year End 1. 2 In this session we will cover Zortec General Ledger 2015 Fiscal Year End steps. You will receive information on what is required.
Processing Transmittals. The transmittal for Receipts form can be found online at: nts/transmittal_rev12_2012.xlsx.
Finance Miscellany Bill Pearce Ventura County CCD.
Report of Collections Class
Financial Accountability through the ease of Self-Service and Internet Native Banner.
CUG Request from 2010 and 2011 User Group Meetings Cortex User Group Meeting Portland, OR – 2012.
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?
3CBG 4/5/2005 Banner tips and tricks Brian Nolan.
Web deposits replace the Clemson University Receipt Transmittal, used only for CU deposits, funds With web department deposits, you can now enter.
January 2016 Slide 1 Monthly P-Card Reconciliation Job Aid.
Nextgen Transactions Presented by Bridget Clayton Local Government Corporation Resource 2014.
Reconciling Bank Statements. After completing this lesson, you should be able to do the following: Explain how to automatically and manually reconcile.
It is a complete O 2 C Presentation which will help you : To Overview Order Management complete process. TO describe the Order Management process flow.
Bank Reconciliation Chapter 4. PAGE REF #CHAPTER 4: Bank Reconciliation SLIDE # 2 Objectives Reconcile your checking Create bank reconciliation reports.
Nextgen Bank Reconciliation Resource Bank Reconciliation Menu Financial Management Bank Reconciliation –Import Bank Statements –Reconcile Bank Accounts.
Banner Finance Training Interactive Reporting Training.
KFS DEPOSITS Fiscal Services Office Rev March 17, 2016.
NextGen Trustee GL/Accounting This class will cover NextGen Financial Management for Trustee Offices. We will look at GL accounts, Transactions, Bank Reconciliation,
Zortec General Ledger Fiscal Year End 1. 2 In this session we will cover Zortec General Ledger 2016 Fiscal Year End steps. We will review information.
Local Government Corporation Resource 2016 NextGen Trustee Year End.
University of South Florida Credit Card Presentation
Processing Finance Corrections
Riding the Wave of Innovation Cash / Bank Reconciliation
Reconciling to the Trustee or Bank
Centenary College e-Bill Tutorial
NextGen Trustee Class Fiscal Year End
NextGen Trustee General Ledger Accounting
University of South Florida Credit Card Presentation
User Manual Financial Accounting
Comprehensive Medical Assisting, 3rd Ed Unit Three: Managing the Finances in the Practice Chapter 12 – Accounting Responsibilities.
Processing Finance Corrections
Utility Billing Balancing the Accounts Receivable
Controller’s Office – Journal Entry Training March 19, 2019
Presentation transcript:

AR to Finance Daily Reconciliation Bucknell University Lori Wilson – lwilson@bucknell.edu Bill George – wdgeorge@bucknell.edu PA BUG – November 2005

Accounts Receivable Daily Reconciliation BANNER Accounts Receivable must be reconciled daily to the general ledger in BANNER. Script to Close Outside Cashier Sessions This is a Catseye process that closes all cashier sessions of users outside the Finance Office, specifically Bucknell Interdepartment Billing (BIB) users. Log into Catseye. Select the appropriate BANNER database (usually ‘PROD’ unless running tests). At the Catseye Startup Menu, choose ‘11’ - Finance Functions. From the Menu of Finance Functions, choose ‘1’ - Close Cashier Sessions. Enter Printer Selection #: ‘NOPRINT’. Review on screen but do not keep. Close Cashier Sessions Each Cashier should balance and close their own cashier sessions. All cashier sessions should be closed in a timely fashion, but not necessarily before reconciling Accounts Receivable (except for TSRLATE on the day of billing, which MUST be closed). To determine if there are open cashier sessions, use the Cashier Supervisory Form (TGACSPV) Active Cashier Session Query.

Finalize Cashier Sessions To finalize the closed cashier sessions, perform <Block Next> from the Cashier Supervisory Form (TGACSPV). Status: change all status ‘C’ sessions to Status ‘F’ Dep No: enter the deposit number from the Current Account Daily Cash Reconciliation Form attached to the manila cashier session envelope (if applicable) After finalizing all closed cashier sessions, perform <Save> and <Exit>. Sign and date the Current Account Daily Cash Reconciliation Form. Put Current Account Daily Cash Reconciliation Form in the manila cashier session envelope and give the envelopes for the day to the Cashier. Process Submission Several processes must be run using the Process Submission Control Form (GJAPCTL). NOTE: It is important to let each job submission start printing and check results (ex. TGRFEED) before submitting the next job submission.

Process: ‘TGRCSHR’. Perform <Block Next>. TGRCSHR: Cashier Detail Report This is the cashier session daily totals report. It includes detailed breakdowns for all transactions within a session and lists the totals of all charges and payments within a session. This is run daily before TGRAPPL and TGRFEED. Process: ‘TGRCSHR’. Perform <Block Next>. Printer: ‘finlp_4-2’. Perform <Block Next>. Parameters and Values: 01 Session Selection F 02 Category Code % 03 Specific Cashier 04 Print All Cashier Sessions Y 05 From Cashier Session Number 06 To Cashier Session Number 07 Detail and/or Summary Report B 08 Update Final Sessions to R 09 Enter Report Begin Date 10 Enter Report End Date Perform <Block Next>. Perform <Save> and document job number. This job is filed in the daily A/R Cashier session file folder.

Parameters and Values: NOTE: This report can also be run to select open sessions to aid cashiers in balancing their cashier sessions. Parameters and Values: 01 Session Selection O (Open) 02 Category Code % 03 Specific Cashier LRANCK 04 Print All Cashier Sessions Y 05 From Cashier Session Number 06 To Cashier Session Number 07 Detail and/or Summary Report B 08 Update Final Sessions to R N 09 Enter Report Begin Date 10 Enter Report End Date

Process: ‘TGRAPPL’. Perform <Block Next>. TGRAPPL: Application of Payment This report applies charges and payments according to system and user defined parameters. Process: ‘TGRAPPL’. Perform <Block Next>. Printer: ‘finlp_4-2’. Perform <Block Next>. Parameters and Values: 01 ID Number 02 Apply Refund to any priority Y 03 Apply Neg Chg to any priority 04 Apply Cont/Expt Credits D 05 Apply Title IV first 06 Apply Aid to Future Term 07 Apply Other to Future Term 08 Order by Term 1 09 Print Application Pending Rost 10 Selection Identifier 11 Application Code 12 Creator ID 13 User Perform <Block Next>. Perform <Save> and document job number. NOTE: You must WAIT for TGRAPPL to print before continuing. Discard paper output.

Process: ‘TGRFEED’. Perform <Block Next>. TGRFEED: Accounting Feed Process This report is the interface to the accounting feed process. Only cashiering sessions which have been finalized are fed. TGRAPPL (Application of Payments) is run before TGRFEED. Process: ‘TGRFEED’. Perform <Block Next>. Printer: ‘finlp_4-2’. Perform <Block Next>. Parameters and Values: 01 Address Selection Date DD-MON-YY 02 Address Hierarchy 1XX 03 Records per feed document Perform <Block Next>. Perform <Save> and document job number. If TGRFEED Does not Process Some other processes on campus will cause TGRFEED to lock up. When this happens, someone from ISR must run a script that will stop TGRFEED from running. The script is documented in Dbit's BANORACL1 document and the name of the script for your reference is /admin/home/catseye/source/del_tgrfeed_deadlock.sql. This will be helpful to know when you call ISR to request that TGRFEED be unlocked.

If TGRFEED Populates GURFEED, but FURFEED Does Not Pass the Batch to Ledger Sometimes, when TGRFEED locks up, as discussed in the previous section, it populates GURFEED, but does not include a header record. If TGRFEED has locked up, you should check the GURFEED table to determine if there are ACTRECV records in the table with no GURFEED_REC_TYPE = 1. (the header record). Run Gurfeed-6x.bqy to see if there are any records in the table. Limit in the results to see if there is no header record. If you determine there is no header record, someone from ISR must run a script that will put a header record in the GURFEED table . The script is documented in Dbit's BANORACL1 document and the name of the script for your reference is /admin/home/catseye/source/create_gurfeed_header.sql. This will be helpful to know when you call ISR to request that a GURFEED header record be created.

Process: ‘TGRRCON’. Perform <Block Next>. TGRRCON: Accounts Receivable Recon This SQL*Report produces a report to facilitate reconciliation between Banner Accounts Receivable and BANNER Finance. NOTE: If using character mode to submit this job, do not use the number pad. This job will abort if you do. Process: ‘TGRRCON’. Perform <Block Next>. Printer: ‘finlp_4-2’. Perform <Block Next>. Parameters and Values: 01 Account Detail Reconciliation Y 02 Starting Feed Date for Detail 01-JUL-96 03 Ending Feed Date for Detail DD-MON-YY 04 Miscellaneous Reconciliation N 05 Starting Feed Date for Misc 06 Ending Feed Date for Misc 07 Deposit Reconciliation 08 Original or Current Accounting C Perform <Block Next>. Perform <Save> and document job number. Script to Remove Receipts This is a Catseye process that removes receipts from the GURFEED table. Log into Catseye. Select the appropriate BANNER database (usually ‘PROD’ unless running tests). At the Catseye Startup Menu, choose ‘11’ - Finance Functions. From the Menu of Finance Functions, choose ‘7’ - Remove Receipt Numbers from GURFEED Table.

Process: ‘FURFEED’. Perform <Block Next>. FURFEED: Finance Feed Sweep Process This process gathers transactions from GURFEED and inserts them into the Transaction Input Table (FGBTRNI). Process: ‘FURFEED’. Perform <Block Next>. Printer: ‘finlp_4-2’. Perform <Block Next>. Parameters and Values: 01 Report Mode S 02 System ID/Time Stamp ACTRECV Perform <Block Next>. Perform <Save> and document job number.

FGRTRNI: Interface Process This is the interface process. Process: ‘FGRTRNI’. Perform <Block Next>. Printer: ‘finlp_4-2’. Perform <Block Next>. Perform <Block Next>. Perform <Save> and document job number.

FGIJVCD: List of Suspended Journal Voucher Forms Check here to be sure no documents beginning with ‘F’ are listed. If an ‘F’ document is listed with a status of ‘I’ (incomplete), please review the below section titled Errors for steps to complete the incomplete document. ERRORS: If a transaction error happens due to something posting in a closed fiscal period, go to FGAJVCD, open the incomplete F document, change the transaction date in the header to the first day of the current fiscal period, and complete the document. If the transaction date is within the current fiscal period, you will need to find the sequence number within the JV that has an error. In the Transaction detail block, perform a query where the status is E. Fix the transaction, save it, and complete the document.

Process: ‘FURAPAY’. Perform <Block Next>. FURAPAY: Refund Interface This will process any automated refunds that were entered during the day by Accounts Receivable. Process: ‘FURAPAY’. Perform <Block Next>. Printer: ‘finlp_4-2’. Perform <Block Next>. NOTE: No output is ever received, but you can't leave it blank, so use finlp_4-2 to be consistent with other daily close procedures. Parameters and Values: 01 Bank code Perform <Block Next>. Perform <Save> and document job number. FGRACTG: Posting Process This process is currently running in sleep/wake every five minutes. DO NOT run this job submission manually.

Process: ‘FGRFAAC’. Perform <Block Next>. FGRFAAC: Fund/Account Activity Report This report should display the total amount of debits and credits for each account. Also, it should display the beginning and ending balance for each account and range of funds and accounts. NOTE: FGRACTG must run before this report is run. To be sure posting has completed, go to the General Ledger Trial Balance Form (FGITBAL) to check for current dates before continuing. Process: ‘FGRFAAC’. Perform <Block Next>. Printer: ‘finlp_4-2’. Perform <Block Next>. Parameters and Values: 01 Fiscal Year YY 02 Chart of Accounts B 03 As of Date DD-MON-YY 04 Include Accrual for Last Prd. N 05 From Fund 110005 06 To Fund 07 From Account 08 To Account Perform <Block Next>. Perform <Save> and document job number.

Daily Accounts Receivable Reconciliation Form After running all of the processes, you may begin the reconciliation process. Open the Excel file X:\private\banner\ar\dailrcon.xls. Date: day of transactions (most likely the current date) Fill in all applicable fields in the spreadsheet, pulling information from the Fund/Account Activity Report (FGRFAAC) 110005-1201, 110005-2415, 110005-2441, 110005-2445, and TGRRCON. NOTE: The posting process needs to run before the funds will be updated in the Fund/Account Activity Report (FGRFAAC). Difference Between BANNER Accounts Receivable and BANNER Finance should equal 0.00. Sign and date the Daily Accounts Receivable Reconciliation Form. File Reports and Reconciliation After all the reconciliation processes are complete, the reports must be filed. Three hole punch all of the reports, including the reconciliation form. Place in the current BANNER Daily Close Cashier-A/R binder. Mark the date on a post-it tab and place on the reconciliation form.

AR to Finance Daily Reconciliation Bucknell University Questions/Comments Lori Wilson – lwilson@bucknell.edu Bill George – wdgeorge@bucknell.edu PA BUG – November 2005