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STATE OF CONNECTICUT Core-CT Project Financials User Group Meeting PO/AP August 2005
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Welcome John Harnick PO Noreen Camara Sandra Hurrie AP Cynthia Babbitt Agenda
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User Acceptance Testing September 15 through 30 Go-Live ! October 3, 2005 Bundles
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4 Inventory Training – Wave 2 Training Starts August 29 Go Live is September 6 -For CME, DCF, DPS, DMR, DOL, DEP Four separate classes (role specific) Classes will be announced to Training Coordinators and Sponsors Sign up in the PSFT Registration Tool Inventory Training – Wave 3 Training Starts September 26 Go Live is October 3 –For DOC, DVA, MHA, DOT Four separate classes (role specific) Classes will be announced to Training Coordinators and Sponsors Sign up in the PSFT Registration Tool Inventory Training Update
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We Invite You …… to stay a little longer today. Need More Assistance? Live demonstrations on the Core-CT Production Website following User Group to answer your questions with your “live” data An opportunity to learn from your fellow module users in other agencies A chance to network with and reach out to other agencies to discuss business processes
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Welcome John Harnick PO Noreen Camara Sandra Hurrie AP Cynthia Babbitt Agenda
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FYE Recap Reminders & Topics New Year Processing Mini-Training Integration of Assets with Purchasing PO Agenda
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8 Successes FYE Recap – PO We rolled 3 Business Units successfully DAS with 66 POs DPW with 371 POs DEP with 1141 POs Thank you DAS, DPW and DEP
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9 Issues FYE Recap – PO During the Close process we discovered 21 different issues that impacted the closing of POs Double-encumbering of POs Some of the issues dealt with overriding match exceptions or receiving, closing requisitions prior to closing POs, and closing POs that had vouchers that were not yet paid
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10 As we move forward FYE Recap – PO Agencies should perform a Monthly close for POs Prepare a Change Order before last payment is made to correctly reflect what is expended against the PO Don’t force-close a PO, research and fix problems before closing Work with your AP Units to ensure there are no unpaid vouchers related to a PO prior to closing
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11 PO Critical Reminders Hot Topics e-Sysco to roll out to more Agencies Alternative for 71000 Bundle Package/Need volunteers to test Agency Contracts must be entered in Core Contract ID is a required field New Purchasing Authority is being created for expired contracts when POs did not roll forward New details on budget checking PO Reminders & Hot Topics
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12 Requisitions - When, Why, and How New Year Processing Requisitions must be used when creating a commodity purchase that will be placed in your agency’s warehouse Requisition special request functionality can also be used when creating a purchase for a commodity that is not contained in the item catalog, however if this item is to be placed in your agency’s warehouse, *STOP* ! You will need a catalog management id number for this item for putaway purposes The e-Procurement module has a more robust search engine to search the item catalog and you have the ability to use a template
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13 Requisitions - When, Why, and How New Year Processing e-Procurement requisitions require receiving, a must for Inventory and Assets Requisitioners/Purchasing Approvers need to become familiar with their Agency’s requirements for identifying/classifying Assets Use the WLAs and Job Aid titled, “Creating Contracts, Purchase Orders and e-Pro Requisitions in Core-CT” http://www.core-ct.state.ct.us/user/finjobaids/docs/cntrcts_pos_reqs.doc
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14 Changes for the New Year New Year Processing Contract Id is a required field New Translate Value for Expired Contracts (coming soon) Steps to be taken to have an item loaded to the item master that will be placed in my inventory
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New Year Processing
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17 POs - When, Why, and How New Year Processing Online POs should be used when creating a purchase for a service (You have the option to remove receiving is required) Online POs can also be used when creating a purchase for a commodity, however if this item is to be placed in your agency’s warehouse *STOP*! You will need a catalog management id number for this item for putaway purposes Receiving is required for all purchases that will be placed in your Agency’s warehouse (Inventory) and for all items that are deemed as an Asset for your agency Use the WLAs and Job Aid titled, “Creating Contracts, Purchase Orders and e-Pro Requisitions in Core-CT” http://www.core-ct.state.ct.us/user/finjobaids/docs/cntrcts_pos_reqs.doc
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18 Changes for the New Year Future Year Obligation New Year Processing Core-CT is developing a new process for identifying and capturing information regarding Future Year Obligations Only Online POs should be used when using this functionality Reports are also being developed for your use
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New Year Processing
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21 e-Sysco Roll Out New Year Processing e-Sysco for ordering food is currently being rolled out MHA was our Pilot Agency for CVH Expanded in August to include all of MHA and DOC More roll outs to come
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22 Contracts - When, Why, and How New Year Processing Contracts are used to track what the State is purchasing DAS and DOIT create contracts that can be used by all State agencies or for specific agencies for commodities or services Contracts are created by agencies for goods/services based on delegated purchase authorities or State Statutes. (These contracts should be restricted for use to only your agency) Use the WLAs and Job Aid titled, “Creating Contracts, Purchase Orders and e-Pro Requisitions in Core-CT” http://www.core-ct.state.ct.us/user/finjobaids/docs/cntrcts_pos_reqs.doc
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Contract Type/PO Type/Purchasing Authority CT Contract Type (Contract Header)PO Type (PO Header Details)Purchasing Authority (Line Details) BU AwardGENContract CON: ConstructionCONContract GrantGRTContract Loan Contract MOU: Memorandum of UnderstandingMOUContract POS CompetitivePOCContract POS NoncompetitivePONContract PSA CompetitivePSCContract PSA NoncompetitivePSNContract Rental LeaseRLContract Rights of WayROWContract Statewide AwardGEN or MLYRContract GEN or BLKTCGS (CT General Statute) GLGL-71 (a, b, c, d, e, f, g) GENMA (Master Agreement) GENST (Standardization Transaction) GL or BLKT* can only be used from online PO GL-71d* GEN or MLYR* can only be used from online PO Contin PO* Job Aid
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Setting up POs by Amount or Quantity PO by Amount – Pay Voucher by Amount PO by Quantity – Pay Voucher by Quantity Multi-Year Purchase Orders Set up multiple lines, distributions and schedules for each month/year Detail Listing Report-tracking of POs Track POs that can be closed, making year-end easier Helpful Hints!
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25 Reporting How to set up POs that run for multiple years PO – Mini Training
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Multi-Year POs
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PO – Mini Training Multi-Year POs
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Detail Listings Report Purchasing/Purchase Orders/Reports/Detail Listings Mini Training
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Run by date, vendor and or buyer Mini Training
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Change format to PDF file! Mini Training
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Double-Click on Process Monitor Mini Training
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Double-Click on details for report Mini Training
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Double-Click on View Log/Trace to get PDF file Mini Training
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Double-Click on PDF file for report Mini Training
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PO Detail Listing by PO Date Mini Training PO Detail Listing by Buyer Report
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37 What we Learned from FYE 2005 FYE Recap - PO DO …Try to force POs closed, look at the message log …Delete distribution lines …Change coding on a distribution that has a voucher against it, add a new line instead …Make dollar changes on the voucher if it isn’t an amount only PO …Start service POs as a requisition …Do a Change Order on a line that is fully matched …Track all purchase orders (open) …Make sure POs are closed on a regular basis… …Do Change Orders before last payment is made …Set up POs by Amount or Quantity - NOT BOTH …Close POs before closing Reqs DON’T
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Welcome John Harnick PO Noreen Camara Sandra Hurrie AP Cynthia Babbitt Agenda
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39 Integration of Assets w/Purchasing ALL Assets are Capitalized ALL Assets must be Received Purchase by Quantity Rules for Assets
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40 State-wide Rules Cost Equal to or Over $1000 Account Code 55000 series Reported on CO-59 Property Control Manual (OSC) Land/Building JESTIR maintenance CORE maintenance CAPITAL ASSETS Integration of Assets w/Purchasing
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41 Agency-Specific Under $1000 Agency List provided to Purchasing/Payables staff Controllable Asset Query – Account 54150 CONTROLLABLE ASSETS Integration of Assets w/Purchasing
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42 Freight Asset Acquisition Detail Line Consolidated Asset Location Frequently Asked Questions Integration of Assets w/Purchasing
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43 Questions
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44 10-Minute Break
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Welcome John Harnick PO Noreen Camara Sandra Hurrie AP Cynthia Babbitt Agenda
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FYE Recap – Issues FYE Recap – What we Learned Reminders & Topics Reversal Vouchers Updating SpeedCharts Updating Monthly AP Procedures AP Mini-Training AP Agenda
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47 Issues During Year-End Close FYE Recap – AP POs closed before Vouchers Processed Payments Canceled, but no Reversals and v.v. Too many Adjustment and Reversal Vouchers Unprocessed at Year-End Management of Inter-Agency Accounts
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48 What we Learned from FYE 2005 FYE Recap - AP DO DON’T … Close Vouchers (now done Centrally only) … Unpost Vouchers (now done Centrally only) … Override Matching (we cannot Post Overridden Vouchers) … Wait until the last budget check process at FYE to process a voucher … Call Module Leads to circumvent the HelpDesk … Delete a voucher immediately after Rejecting … Troubleshoot Budget Errors promptly … Work with Purchasing to complete the last voucher-inform them they can now close the PO … Manage/reconcile Adj and Reversal Vouchers (monthly) … Manage/reconcile Inter-Agency Accounts (monthly)
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49 AP Critical Reminders Hot Topics Reversal Vouchers Updating SpeedCharts for new FY Update Monthly AP Procedures Reconciling Vendor Accounts DO NOT Override Match Exceptions! Wait to do Reversal Voucher during Cancellations Budget Check after Deleting Vouchers Double Check Voucher ‘Pay Terms’ and Due Date Voucher Close and Unpost Voucher AP Reminders & Topics
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50 Always for negative $ amount Reverses one voucher – created by copying/relating to the Original voucher/***THIS INFO MUST MATCH EXACTLY Information is the same as Original voucher (Remit-to Vendor, address, location, pmt method, handling code) *Use ‘RA’ handling code for ‘CHK’ method on both vouchers The Vendor information must be active (Location/Address) ‘Separate Payment’ must be unchecked on Original and Reversal Vouchers Scheduled Due Date must be current date or earlier Used when you cannot delete a voucher, and frequently after payment cancellation for PO-related vouchers Original voucher is put on “hold” until Reversal is ready for Pay Cycle selection Reversal Voucher and Original voucher go in the same Pay Cycle + $ - $ Reversal Vouchers
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51 Updating SpeedCharts
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52 Updating SpeedCharts
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53 Updating SpeedCharts
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54 Updating Monthly AP Procedures Changes to the Month-End AP Close Process – (In an effort to keep KK = GL) 1st Business Day of New Month – Identify Vouchers Budget Checked/Not Posted 3rd Business Day of New Month – Correct Budget Errors and Post 3rd Business Day of New Month – Post all Valid Vouchers 3rd Business Day of New Month – * Delete remaining Vouchers in Budget Error * We are no longer pushing budget checked/unposted vouchers into the new open period * We are pushing vouchers not yet budget checked into the new open period
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55 Updating Monthly AP Procedures Sample of New Unposted Voucher Report
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56 Updating Monthly AP Procedures Key fields added in results
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57 Unposted Vouchers CT_AP_VCHRS_UNPOSTED Vouchers Paid but Unposted CT_AP_VCHRS_PAID_UNPOSTED Vouchers Budget Checked/Not Paid CT_CORE_FIN_AP_VCHBUDCKD_UNPD Vouchers Budget Checked/Not Posted CT_CORE_FIN_AP_VCHBUDCKD_UNPOST Expenditures by Account Code CT_CORE_FIN_SAAAS_OPTION16_5_8 EPM Queries- Updating Monthly AP Procedures
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58 AP – Mini Training Managing Vouchers on a Regular Basis Use Vouchers Budget Checked, but Not Paid to Manage Unpaid Vouchers
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59 AP – Mini Training Results of ‘Vouchers Budget Checked, but Not Paid’ Query What does this tell you? Managing Vouchers on a Regular Basis
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60 AP – Mini Training Results of ‘Vouchers Budget Checked, but Not Paid’ Query What does this tell you? Managing Vouchers on a Regular Basis
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61 AP – Mini Training Reconciling/troubleshooting a Vendor’s Account Run a ‘Vendor Current Balance’ Inquiry Corporate Express XXXM1
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62 AP – Mini Training Reconciling/troubleshooting a Vendor’s Account These are all Adjustment Vouchers- Credit Memos were never applied Resolution: 1- Enter Adjustment Vouchers for +$ to ‘wash’ in the next $0 Pay Cycle, 2- Contact Vendor for refund XXXM1
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63 AP – Mini Training Reconciling/troubleshooting a Vendor’s Account Run Vendor Aging Inquiry XXXM1
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64 Questions
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65 Users can call Help Desk @ 860-622-2300, ext. 1 Due to the complexity of year end and other issues, users can email Core.Support@po.state.ct.usCore.Support@po.state.ct.us Provide more details Include screenshots Specific encumbrance issues Becomes a ticket and escalated to Level 2 Use the same address Core.Support@po.state.ct.usCore.Support@po.state.ct.us to request topics for future User Groups Customer Support
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Thank You for your participation today. We hope this information proved helpful… Look for this presentation and meeting Q & A’s on the Core-CT Website www.core-ct.state.ct.us/ www.core-ct.state.ct.us/ AR/BI/GL User Group Mtg 9/8/05 9-12am & 1-4pm 101 East River Drive, Room 1002A&B *** (don’t forget to sign up) Closing
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