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Process steps S. NO. 1 ( Description ) (Office Manager (OM) receives documents in mail. ) ( Reviews the same & forwards it to Responsible Person ) ((RP) for approval ) (RP reviews the document (Inv/DN) for validity of price, ) (quantity, product service recd. Returns it to OM. ) (OM forwards the document to Accounts Dept (A/C) for ) (payment approval & payment. ) (A/C approves payment & posts document (Inv/DN) ) Responsible OM
RP
OM
4 5
A/C
(A/C dept prepares/posts cheque/bank trf for invoices due for ) A/C (payment. Alternatively, pays invoice online & forwards ) (cheque/bk trf to OM for signature & paid invoice for ) (authorization. ) (OM authorizes online payment/signs cheque & returns it ) (to A/C for posting & dispatch to vendor/ filing. ) (A/C posts online payment & files the invoice. ) OM
A/C
Output Document 1 2 3 Report (Journal ) (Updated vendor a/c ) (Approved vendor invoice )
1 2
Expectation 1 Posting should be allowed after invoice is duly approved by person receiving product/service (System should intimate due dates )
ROYAL BANK OF CANADA 260 EAST BEAVER CREEK ROAD HWY 404 & HWY 7 BRANCH RICHMOND HILL, ONT. L4B 3M3 CANADA
USD CHEQUING 2 Bank Name & Address ROYAL BANK OF CANADA 260 EAST BEAVER CREEK ROAD HWY 404 & HWY 7 BRANCH RICHMOND HILL, ONT. L4B 3M3 CANADA
Bank Name
Bank Address 260 East Beaver Creek Road 260 East Beaver Creek CANADA Road Richmond Hill, ONT. L4B 3M3 Canada 260 East Beaver Creek Road 260 East Beaver Creek CANADA Road Richmond Hill, ONT. L4B 3M3 Canada
Account No
Currency
ROYAL BANK OF
6032 400431 3
USD
ROYAL BANK OF
Process :
Sales staff requests the Acct to provide the travel funds. Acct initiates the request by entering details on Travel software which is internally designed to control the travel funds & trip details. It generates the trip no. & converts the currency to CDN $ at weighted average rates based on previous purchase of foreign currency.
Acct prepares trip voucher on excel indicating details of funds/ currency/exchange rate/ Trip No.& coversion to CDN $ amount in duplicate. One copy is given to Sales staff & other is retained by Acct duly signed by Sales staff for funds advanced On return from trip sales staff gives account of funds expensed with supporting cash expense vouchers to Acct Acct then updates the relevent trip no. item in the travel software & updates it by posting amount returned. Acct then updates the relevent excel voucher by entering the details of funds spent/returned Acct posts the transaction by making journal entry to expense the trip cost in the accounting software. Expectation The system should allow for the above process to be completed with in the system in a more efficient & simple way.
h is internally
updates it by posting
d with in the
This is included in vendor invoice & added to the total cost Currently is 13 %. Normal payment terms from Vendors are 30 days, 45 days, 60 days & 90 days