Erp Training Manual
Erp Training Manual
Erp Training Manual
1. Core HRMS 1
3. Purchase Requisition 33
4. Project 77
5. Payroll 90
9. Payments 163
Prepared by
Joshy C. G
Shyla N C
Sreejith T J
Contents
SL No Title Page No
1. Creating New Employee 1
2. Entering Employee Address 3
3. Entering Additional Personal Details 5
4. Entering Passport Information 6
5. Entering Religion/ Category/ Height/ Identification Mark 6
6. Entering Medical Assessment Details 7
7. Entering Employee Phone Number 8
8. Enter Educational Qualifications 8
9. Entering Employee Picture 9
10. Entering Service Details Of An Employee 11
11. Entering Supervisor Details Of An Employee 11
12. Entering Probation Details Of An Employee 12
13. Entering Statutory Details Of An Employee 12
14. Adding Salary Elements 13
15. Editing Service Specification Of An Employee 14
16. Employee Transfer 15
17. Retirement 17
18. Leave Adjustment 18
Creating a New Employee
Step 1: Login to ERP Solution
Step 2: Click on the Establishment and Personal SectionEmployee Service
RecordNewChange the effective Date if required) Enter the mandatory fields like
(First Name, Last Name*, Gender)
1
Email (Email)Save
2
Choose Action as – Create Employment
Now a unique user id will be created for the employee .Click on Save
Entering Employee Address
Click on AddressEnter the address details OkSave
3
Type of Address can be
Current/Correspondence Address ,Home Town Address, Permanent Address
Note: The fields marked yellow are mandatory and you cannot save data without filling them.
4
Entering Additional Personal Details
5
Entering Passport Information and Religion/Caste Details
1) Search for the employee
2) Click on Personal Info
6
Entering Medical Assessment Details
1) Search for the employee on Enter& Maintain screen
2) Click on Personal Info
3) Choose Medical Assessment Details and press OK
4) Enter Date of Assessment
5) Choose type of Assessment from the drop down menu, as applicable
6) Choose Consultation Result from drop down
7) Enter any other details in the Description section and press Save
7
Entering Employee Phone Number
8
5) Click On the Personal Info
6) Click on "Educational Qualifications"
9
Click on Browse and select the appropriate picture file and click apply
Entering Disability
1. You need to search for the employee. Click on Personal Info Disability.
2. In Category you need to provide type of disability like Blind, Autism, Locomotor
Disability etc., Choose Status as Active
3. Choose the appropriate Reason by selecting from List
4. Mention the Degree of Disability.
5. Click on Further Information
10
Choose Yes
Post this only employee can benefit under Section 80U
11
Entering Probation Details Of An Employee
Probation & Notice period (Enter the End Date) Save
12
Adding the Salary Elements
13
Service Specification of an Employee
• This is one of the most important sections of the HRMS. Where we can enter/edit
service details of an employee from this screen.
• Transaction related to transfer, deputation, promotion, pay band or grade pay
change.
• It maps the service book into the system.
14
.
Employee Transfer
Before transferring an employee first we have to stop (delete) the bank details from the
establishment responsibility for a particular employee.
• Later we have to change the organization details from the transfer responsibility for
a particular employee.
15
Step 3: Click on the Employee Service RecordSearch employee by name or user id
Service Details Service Change Reason (Transfer on own request/transfer on
public interest)Save
16
Retirement
Step 1: Click on the Establishment and Personal SectionEmployee Service
RecordSearch employee by name or user idPersonal InfoRetirement
DetailsOk
17
Step 2: Enter the details like (office order issued date, Superannuation Date and Actual
Resignation Date)RetirementSave
Leave Adjustment
Service Details Salary Components (Enter the components for Leave Accraul upload
Click on Entry ValuesEnter the Effective Dates, Plan Dates(+/- Number of dates) Save
18
19
ERP TRAINING MANUAL
HRMS Self Service
Prepared by
Joshy C. G
Shyla N C
Sreejith T J
Contents
SL No Title Page No
1. Logging into Oracle Applications 20
2. Basics Of Self Service 20
3. View ICAR Service Details 21
4. Checking Your Leave Balance 22
5. Applying Leaves 22
6. Casual Leave 23
7. Earned Leave 24
8. Extra Ordinary Leave 25
9. Half Pay Leave 25
10. Maternity Leave 26
11. Paternity Leave 27
12. Running Joining Report 27
13. Trainings, Deputations And Other Activities 28
i. Delivered Programs 28
ii. Attended Programs
29
20
This list shows list of approvals which have been received and the ones that our pending on
Self Service
Functions will
appear here
21
Checking your Leave Balance
A summary of leaves taken during the entire career of an employee can be seen as below
Applying Leaves
Click on My Leaves
22
• Click on
Casual Leave
23
• Press
• Click on Next.
• Applied Changes would be seen and also Approver Name.
• Click on Submit if everything looks fine.
• Changes would be applied after clicking on submit.
Earned Leave
24
Extra Ordinary Leave
Maternity Leave
26
Paternity Leave
Joining Report
27
Click on the button next to Leave type. Another window will open. Click Go
Delivered Programs
Click on
Click on Add under Employee Programs.
Note: Depending on whether you delivered the program or attended it . Please click on
the relevant Add button
• Click on Add
• Another window will open and click on Program Type.
28
• Enter Program type as Radio talks from drop down list.
• Enter level of participation as attended, conducted, organized etc as applicable.
• Enter Program Name.
• Enter Venue.
• Enter City
• Enter Start Date as 'dd-mm-yyyy'
• Enter End date as 'dd-mm-yyyy'.
• Enter Duration.
• Enter Program Conducted By.
• Enter Approver.
Attended Programs
• Click on Add
• Another window will open and click on Program Type.
• Enter Program type as Radio talks from drop down list.
• Enter Program Name.
• Enter Venue.
• Enter City
• Enter Start Date as DD-MMM-YYYY
• Enter End date as DD-MMM-YYYY
• Enter Duration.
• Enter Program Conducted By.
• Enter Approver.
29
Enter details and click Apply.
Note: The columns marked with a star* are mandatory and you have to fill them else the
system wont allow you to submit
Step 2 : You can view the payslip by selecting the appropriate month and select GO
Select Employee Payslip Print Button to get the electronic copy of the Payslip
30
Step 3 : Enter the Period Name as shown (MMM-YYYY) and Select Next
Select Next
Select Submit
31
Select OK
Step 4 : You can download or print the pay slip from this Output
Click Back Button of your browser to get back to ERP site and Select HOME
Logout ERP .
32
ERP TRAINING MANUAL
PURCHASE REQUISITION
Prepared by
Shyla N C
Joshy C. G
Sreejith T J
Contents
SL No Title Page No
1. Requisition Creation 33
2. Entering Purchase Requisition Data 33
3. Entering Taxes Into Requisition 36
4. Placing Attachments 36
5. Requisition Approval Process 39
6. Request for Quotation 40
7. Quotation 45
8. Quote analysis and approval 48
9. Purchase order (PO) 51
10. Entering taxes in purchase order 54
11. Approving PO 56
12. Cancelling PO 62
13. Rate contracts 65
14. Blanket release 69
15. Supplier creation 72
16. Running purchase report 75
17. Fund available check on indent 77
Requisition creation
33
Auto generated fields value will be shown in the screen such as (Institute, Type, Preparer,
status).
Enter the field (Description ).
Click on DFF (Descriptive Flex grid Field) to enter the {Source of fund, Scheme Code, Division
Name} Ok
34
Enter the Delivery date of the item.
At the line level, click on the DFF to enter the Buy Back Amount and EFC (Expenditure Finance
Committee) Item Ok Save.
1-3 digit will be Institute Code, 4-5 will be year, 6 will be PR, 7-11 will be serial number.
35
Entering taxes into Requisition
Step1: Click on the Taxes Button. (New tax details screen will pop up).
Step 2: This form used to add the local taxes defined in the system.
• Select the Tax name
• Tax Precedence 0 (tax only to base amount) and 0 & 1 (tax to base amount and first tax line).
• Enter the different taxes Apply Save Close
Placing Attachments
37
Click Find (select the document) Attach 1 Save Close
Check if all details of the requisition are fine ,hit the “Approve” button
38
Click OK Button
The approver will Log in to Oracle and click the Notification Summary button.
All open notifications will be listed
The approver will click the notification related to the requisition that needs to be approved
The approver will click the approve button to approve the requisition.
• To forward the requisition to another person without approving, press the "forward"
button, select the employee and apply.
• To return the requisition, press the "Reject" button.
• If the approve button was pressed, the requisition will get approved if it falls within
the approval limit of that approver or will jump to the next person in the hierarchy.
39
If the Requisition is Approved by the final authority Status will be changed to
“Approved” state.
40
• Press ”Clear” button and enter the Requisition number.
• Press Find
41
In the Auto create Document form, Select the Requisition and the line that needs to
be converted into an RFQ
42
A new form opens
• This will create a Bid RFQ which will be used to create Standard Purchase Orders.
• Press the “Create” button
43
• Press OK and enter the Description.
44
The RFQ Suppliers Form opens up.
• Select the Suppliers and the supplier site to whom to send the RFQs
Once the suppliers are added to the RFQ, close the form.
• Suppliers send in their quotes. These quotes need to be entered into the system by
making Quotations.
Quotations
The buyer enters the quotation details received from suppliers into the system from from
the RFQ details
• Select RFQ’s in Purchasing section
45
Query for the RFQ by pressing F11, typing the R
• FQ number and then pressing Ctrl F11
• ‘Copy Document’ facility can be used to create Quotations from the RFQs.
46
In the copy Document Window,make the selections as shown in the figure below.
• Ideally, select the “Entire RFQ” to be copied onto the quotation. One can also copy
RFQ header / RFQ line to the new quotation.
• Select the supplier from the list attached Earlier into the RFQ
• The Entire RFQ gets copied and a Bid Quotation gets created.
47
Similarly, copy all the quotations received from all the suppliers attached the RFQ
• The quotation gets created.
• Query for the quote based on the item and / or RFQ number
The Analyze Quotation form opens where the quotes from all the suppliers for the RFQ /
Item queried can be viewed and compared
49
• Compare the quotes and note down the best quote. Also note down the Quote Line
• Close the Analyze quotations form
• Navigate to Quotations (Localized)
• Query and open the quote that was just noted as the best quote.
• Click on Approve button.
• Provide the reason for the approval of the quotation the document type to be
created from the quotation
• Click on "Ok"
50
• The quotation line gets approved.
Purchase Order
• Click on Open
In the Form that opens ,press the Clear button
51
The Autocreate Document form opens.
• Select the Requisition and the line that needs to be converted into a PO
• Set the Document type to "Standard PO" and the Action type as "Create"
52
A Standard PO gets created and a Purchase Order number is also generated
• Enter the Description.
Enter the LC number in the PO header field. LC Nos. will appear based on supplier chosen.
53
Entering Taxes in PO
• Select on Purchase Orders Creation in Purchase Section and click on open.
54
Tax details India localized screen opens up.
• Enter the Tax Precedence and the lines to which the tax needs to be applied to.
• Putting a “0” means applying the tax only to the base amount. Putting “0” and “1”
means apply the tax percentage to both the base amount and the first Tax Line while
putting “1’ means apply the tax percentage to the first Tax line.
• Some taxes / freight are applied as a flat amount and not as a tax. For these taxes
enter the exact amount of the tax
55
Approving the Purchase Order
• After creating the purchase order buyer will submit it for approval.
• Approvers will have the options to approve, reject or forward the documents.
• For Purchase Order & Rate Agreement document approvals, position hierarchy
would be used.
56
The "Approve Document" window opens.
• Check the “Forward” box and approver name will appear automatically in Forward
To.
• Press OK.
If fund check passes successfully, the Purchase order would be submitted in the hierarchy
for approval.
57
Once Submitted for approval, the PO will pass through funds check. Its success will depend
on the budget limit. The status of the Purchase order now will be "In Process,Reserved"
After the Purchase Order gets approved, the Status of the Purchase order will be "Approved,
Reserved"
58
Modification of PO
• Once a Purchase order has been created and approved, it might need some
modifications
• Quantity and Price can be modified after unreserving funds
• Other terms such as payment terms and shipment terms can also be modified
• Open an approved PO
59
• Click on Tools -◊ Unreserve.
• Click on OK.
60
• Click on OK.
• Save (Ctrl+S).
61
Cancelling a PO
Canceling a rejected PO will transfer the indent with the quantity of the PO back to the Auto
Create screen.
• Press “Find”
62
• Go to Tools - ◊ Control.
• Press OK.
63
• A message will appear which will ask for confirmation.
• Press OK.
64
The PO gets cancelled and further the status is now "Closed"
Rate Contracts
65
• Select the Document type as “Blanket Purchase Agreement”.
• Enter Description.
66
• Enter Source of Funds, Scheme Code and Division in the header DFF as shown below.
67
• Contract No. gets generated.
• Click on “Approve” button.
68
• Rate Contract gets approved
.
Blanket Release
69
• Navigate to AutoCreate window
• Click on “Open”
• The "Find requisition Lines" form that opens. In it, query for the requisition, for
which an PO needs to be created
• Enter the requisition number and Press the “Find” button.
• The Autocreate Document form opens.
• In the Autocreate Document form, select the Requisition and the line that needs to
be converted into release.
• Set the Document type to “Blanket Release”
• Press on the “Automatic button”
70
Select the Rate Contract document number. The Release number gets auto generated.
• Once the Release gets approved, it’s status changes to “Approved , Reserved” as
shown below
71
Supplier Creation
Navigate to Supply Base Suppliers
72
• Enter Organization name, Tax Country and approved by Institute.
• Approved by Institute – Yes -◊ This means that it’s a registered supplier.
• Press Apply.
73
• Fill the information as shown in the below screenshot.
• Press Apply.
74
Supplier gets created
From the toolbar menu at the top, select View then Request
75
• Click on "Submit a new Request"
76
Fund Available Check on Indent
We have made the provision to check the Fund Available on the Indent form. Indenter
would have two options to check the fund availability before submitting the Indent for
approval. 1) Fund Available Check-->Nowthe Indenter can check the Funds Availability for
every line/Item. By clicking on Tools-->Fund Available Check. System would show the funds
availability for the given budget head. For more details please refer attached screen Shots.
Fund Inquiry Report-->Indenter can also run "ICAR Fund Inquiry Report" to check the fund
availability before submission of Indent for Approval.
77
78
ERP TRAINING MANUAL
PROJECT
Prepared by
Joshy C. G
Shyla N C
Sreejith T J
Contents
SL No Title Page No
18. Logging into Oracle Applications 79
79
Click on New Document
Step 2: Select Document type from the list and enter start date then click on
Finish
80
Step 3: Fill all the relevant details in project header tab.
81
Now again click on Project header tab and message will appear click “OK”.
Project number will generate as indicated in below screenshot.
If you want to create RPP1 document from status report then click on “copy from
existing document” option so that the relevant information is copied from status report.
82
In the next screen, select the document type from where you wish to copy then click
on Next.
Select document type you wish to create. In start date field, enter the start of document
then click on finish.
83
1 Enter RPP2
2 Enter RPP2
reporting period
3 Click here
84
To Enter Project either go to Enter Project Projects Responsibility (Other than PI of the
project want to allocate the Project Budget).Click on Enter Project Budget
Provide your Project No. (Generated at the time of RPP-1 Creation), Select Budget Type as
Expenditure Budget (System would check the Expenditure Budget for Project related
Expenses).Another window will pop-up.Enter Appropriate Fund Type,Scheme Code and
Division Name.Then Click on Ok Button
85
Click on Details Button
System would show three Major Category. Select Major category (Under which you want to
allocate the budget) and then click on Budget Lines
86
System would show a note.Click on Ok button
Now click on Minor Expenditure head and select appropriate Minor Category, Amount Type
(only would have One Value as “Raw Cost”).Enter Budget amount in any of the month in for
the given financial year.
Example:for the current Financial year 2014-15 budget can be allocated in of the month
from April’14 to March’15.There is no month wise check, system check over all budget in
the given financial year.After enter Budget save the Transaction (Ctrl+S).System will show
Two additional Line.Now Close this form and repeat this activity for other major categories.
87
After entering the budgets (Save them)
88
After Click on Submit button Submit Button will change to Baseline button, click on this
button again.Now the status would be “Inprocess”
89
Submission and Baseline is very-very Important Step.So please don’t Skip/Miss it.
Find the request name : ICAR Project Budget vs. Expenditure Report(User Level)
90
Enter the Parameters
Enter the RPP1 Number
Click OKSubmitNOFind
Click Refresh Data until the Phase is Completed
Click View Output
91
ERP TRAINING MANUAL
Payroll Processing
Bills Section
Prepared by
Shyla N C
Joshy C. G
Sreejith T J
Contents
SL No Title Page No
1 How to enter salary components for an employee 92
2 How to run payroll 100
4 How to roll back pay roll run 103
5 How to verify incomplete pay roll process 103
6 How to verify incomplete employee wise pay roll process result 104
3 Creating a group of employees for payroll run 107
Payroll
Search the Employee by Name (E.g. %xxxx)or by Employee number (E.g. 123456)
92
A new window will open with the searched keyword. Click the employee name and click
93
Click on to change the Effective date
Click on to add new Salary Component
94
Add the respective Salary Component
Click Entry Values to enter values to the added component and click on Save Button.
95
Deduction
GPF Information
GPFS
(Employee Total PF Contribution in Pay Slip)
GPFA GPF New Advance Recovery Recurring
NPS NPS information Recurring
HBA HBA Advance Recovery Recurring
LIC LIC Deduction Recurring
PLI Postal Life Insurance Recurring
LF License Fee Recurring
PCA Computer Advance Recovery Recurring
SCA/CYA Vehicle Advance Interest Recovery Recurring
GSLIS CGEGIS Recurring
PT PTAX Adj Recurring
IT Income Tax Deduction Recurring
WC Water Charges Recurring
FEST Festival Advance Recovery Recurring
SOCIETY Central Society Deduction Non Recurring
CLUB CLUB Recurring
EC Electricity Charges Recurring
96
Full List of Salary Components in ERP
97
98
99
HOW to run Payroll
Request name: (ICAR HR Pay Slip Report) (Run Payroll Run(India) before this report )
Step 1: ViewrequestsSubmit a new RequestOk.
Step 2: Submit Request (Pop-up) Name (ICAR HR Pay Slip Report)Ok.
Step 3: Institute Name (Enter CIFT) TAB.
Step 4: Period Name (Select the month).
Step 5: Employee Category (Select the employee category).
Step 6: Location Name (Find & select CIFT(MI),Kochi).
Step 6: SubmitNoFindView Output.
Note: Any data is mismatched with original data, and then roll back the report.
100
Pay Bill Report
Request name : ICAR Payroll Employee Wise New Pay Register Report (Run Payroll
Run(India) before this report )
Step 1: ViewrequestsSubmit a new RequestOk.
Step 2: Submit Request (Pop-up) Name (ICAR Payroll Employee Wise New Pay
Register Report)Ok.
Step 3: Institute Name (CIFT) TAB.
Step 4: Period Name (Select the month).
Step 5: Employee Category (Select the employee category).
Step 6: Location (Find & select CIFT(MI),Kochi).
Step 6: SubmitNoFindView Output.
Note: Any data is mismatched with original data, and then roll back the report.
Report of Schedules
Request name: ICAR Pay Register Component wise Report (Run Payroll Run(India) before
this report )
Step 1: Login to the ERP Solution.
Step 2: DDO payroll accessRun Payroll for a Single EmployeeViewrequestsSubmit
a New RequestOk.
Step 2: Submit Request (Pop-up) Name (ICAR Pay register Component wise
Report)OKA new window will open.
Step 3: Enter the details (Component Name, Pay Period, Institute Name, Employee Category,
Location)
Step 4: Component Name (Select the component name)
Step 5: Pay Period (find & select the month MMM-YYYY)
Step 6: Institute Name (CIFT)
101
Step 7: Employee Category (Select the employee category).
Step 8: Location (Find & select CIFT(MI),Kochi)
Step 9: SubmitNoFindView Output.
Note: Any data is mismatched with original data, and then roll back the report.
If we want to reflect the pay slip at the user end, then we have to run the following reports
102
Rollback Process
1. First Roll back – 1. Pay roll reports archive (India) (Magnetic Report)
2. Electronic Fund Transfer (magnetic transfer)
3. Prepayment
4. Costing
5. Transfer to GL
2. Roll back run : pay roll run (India)
Go to the DDO payroll access Verify payroll process result enter PAYROLL
NAME, FROM , TO, ACTION TYPE and click on FIND
Click on messages to see the error
103
How to verify incomplete employee wise payroll run
Go to the DDO payroll access Verify employee wise payroll process result
enter EMPLOYEE NAME OR ASSIGN NUMBER and click on FIND
1: After the successful run of all the programs in Establishment section, Click on “XXX
General Ledger” Responsibility.
2: Click on Import Journal.
3: Select source as Payroll, ledger as ICAR and specific value shall populate as soon as we
click on the list of values.
4: Then Click on import button.
Click on the List of
values. Group ID will
populate automatically.
5: After import journal, click on View >>> Request>>Find, and then click on view output.
6: Copy the Batch Name
from the Report Output as shown below:
104
7: Go back to the Navigator and in xxx General Ledger responsibility, click on Enter
8: Enter Journal Form will open up. Paste the copied Batch no. in batch column.
9: Click on find button.
105
10: Now click on review journal
11: Review the entry properly by checking the account, fund type and amounts. Once
verified,click on Post.
106
12. A bill with the net salary payable amount needs to be created by taking fund type as
default and account as Salary AP Accrual Account and the payment will be made accordingly.
Navigation
CIFT DDO payroll Access Create Group of Employees for Payroll Run
107
Type in a Name for the Assignment set
108
‘Save’ the process
Click on the “Amendment” button, new window will open up and you can add employees to
the group which should be “Include/Exclude “.
109
How to edit a group of employees
110
If you will create the new assignment set with the same name then this error will occur that
you are creating assignment set which is already present in the system.
For deleting any assignment set you have to first delete the amendments created in that
assignment.
After that you can delete the assignment set.
Before deleting amendments you cannot delete the assignment set.
111
For deleting amendments and assignment click in the delete icon in the menu and save the
transaction.
112
ERP TRAINING MANUAL
VENDOR CREATION
PURCHASE
Prepared by
Basil Varghese
Joshy C. G
Shyla N C
Logging into Oracle Applications
Open the link for the Oracle Instance
http://icarerp.iasri.res.in
Vendor Creation
Click on Vendor Creation Entry
113
Click Here to
Create Supplier
114
Click on Create Button
Click Apply.
115
Supplier gets created.
116
117
ERP TRAINING MANUAL
Bill Processing
Prepared by
Shyla N C
Joshy C. G
Sreejith T J
Contents
SL No Title Page No
1 Bill Creation Process 118
2 Business Process – Bill Creation Process Based On Purchase Order 118
3 Business Process – Bill Creation Process Without PO 125
4 Business Process – Bill Creation Process For Projects 132
5 Business Process – Advances To Employees 135
6 Adjustment Of Advances Given To Employees 139
7 Business Process- Petty Cash System 145
8 How To Run Bill Report 148
Logging into Oracle Applications
Navigation
http://icarerp.iasri.res.in
Enter the Username and password as provided (individual user name/password to be used). Password
needs to be changed on first time login.
On logging into the application, a new page consisting of the responsibilities assigned to the user and
the active notifications for the user will open up
A Purchase order is created by the purchasing department to place an order for purchase of an Asset,
service, or incurring any expense.
Then upon receiving the goods or service, a receipt is prepared.
On the basis of receipt, then a bill shall be created.
This process shall be used for creation of bills for fixed assets, Projects, Expenses, Inventory.
118
Navigation
The DDO assistant shall receive a bill file from the purchasing section which he shall use for
entering the bills
Following is the bill form
119
Select Nature of Bill Select vendor name Enter vendor invoice Enter Invoice number
date
120
Select the invoice date from the calendar.
Once all the required fields are entered, click on Match button.
121
“Find Receipts for Matching “form opens up.
Purchase Order number is coming from bill header.
Click on Find.
122
Once you click on Match Button then purchase order details will copied to bill form.
The DDO Assistant shall save the bill and the bill is created.
If the user wants to view the populated details, he can go to Lines and see the receipts number,
quantity received, etc.
123
Click on Actions…1 button.
Run ICAR Bill Report, take a Print and forward it to the DDO.
Go to section “How to Run Report” to learn about it.
Close the form and forward the bill file to the DDO for checking.
124
Business Process – Bill Creation Process without PO
The DDO assistant shall receive a bill file from the purchasing section which he shall use for
entering the bills
Following is the bill form.
125
Select Nature of Bill Select vendor name Enter vendor invoice Enter Invoice number
date
Vendor name- Enter the name of the vendor. You can search the name from the LOV’s attached.
Click on Ok to select.
126
Supplier number
It is the unique number assigned to every supplier by the system automatically.
On selecting the Vendor name, the supplier number will come automatically.
Supplier site-If the vendor has only one site, it will come automatically. If there are multiple sites of
a vendor than select the relevant supplier site
Vendor invoice date-Enter the date present on the vendor invoice. You can use the calendar
127
Vendor invoice number-The system will give you the following message. Click on Cancel and enter
the invoice number as mentioned on the vendor invoice.
128
Payment Terms: Will be default.
Payment Method: It will always be default from the supplier level. However, at the time of creation
of bill, the user can change the payment method to the desired. For making the payment method
as Electronic, the user shall make sure that the Bank details are available.
129
Enter Amount and click on Distributions
Fund type-
It means the source of funds from which the funds will be disbursed.
Select the appropriate fund type from the LOV’s attached. Whether the expenditure is from Grants,
deposit scheme, etc
Click OK.
If the Source of fund is Grants, select default scheme code. If the source of fund is other than Grants,
select the relevant scheme code from the list.
130
Account- Select the correct natural account from the list given.
It signifies the account in which the invoice should be accounted.
User can search for the required account by using % and finding it in the Find field.
This LOV contains all the accounts.
Division- It contains the names of the Regional Stations, KVK’s, State agriculture universities etc. If
the bill that is being created is related to any of them, then select the appropriate division and click
on OK.
Other two fields will be default always and user need not enter them.
Click on Ok and a budget message would come which will tell the availability of funds in that
particular fund type, Scheme code, Budget head, division.
Note: It is mandatory that budget for this project should be entered in the system. Only then will you
be able to carry out the below mentioned process:
In case of creation of bills related to a particular project, please follow the additional steps as shown
below at the LINES Level.
Select the Project number at the Lines Level for which the bill is to be made. As in below screenshot,
project number, PIMS/RPPI No and duration is visible
Select the Project number at the Lines Level for which the bill is to be made. As in below screenshot,
project number, PIMS/RPPI No and duration is visible
In Lines, select the correct Project number. Details of Project number and other expenditure details
shall come from the scientists only.
Once you select the Project Number and click on Ok, the following message shall appear showing
the name of the project
132
The next field is Major category. Click on the list of value attached and select the category under
which the bill is to be made
However, while creating project related bills for a project, only those Major Category and Minor
Category values would be available in List of values under which client has allocated the budget in
his/her project .
133
Once you select the Minor category, the system will give you a message showing the budget and the
fund available in that minor category for that project.
Click on Distribution.
The account shall automatically default from the minor category you select. You can change the
account in case you want .
134
NOTE: In case the Invoice Type is Prepayment, the account details shall not default from the
expenditure type and user will have to enter it manually.
NOTE: The budget amount will also get displayed when user will click on Action button (to validate
the bill).
135
Institute name will always be defaulted as the respective institute
For giving an employee advance the DDO assistant shall use Bill type as ‘Prepayment’.
Select the Employee name to whom the advance is to be given. The Employee vendor number will
come automatically.
For making an advance to an employee, the site shall always be taken as ‘HOME’.
The DDO assistant has to select ‘HOME’ for making employee advance of this nature.
Bill received date shall be the date on which DDO assistant receives the request file to process
employee advance.
136
Enter the Invoice Number in the following format-Date-Employee Vendor Number as explained
below.
137
Distributions form open up.
Enter the Amount in distributions.
In Distributions window, user will be entering the code combinations where the accounting of the
bill shall take place.
It is one of the crucial steps of bill creation, because the distribution will be deciding the impact of
the bill.
Institute name will come automatically once you click on the LOV button.
Select the relevant Fund type, Scheme code, Account and Division.
Save the bill and close the distributions screen.
A bill number will automatically get generated.
After this, the bill file will be forwarded to DDO
138
Adjustment of Advances given to Employees
Create a bill for the expenses incurred by the employee against the advance taken.
Create a ‘Standard’ type bill.
Upon selecting the Employee name, a Pop up message will appear as shown below. It will give a
reminder that prepayments are available for application for this vendor. Click on ok and proceed.
The process for creation of bill shall be the same as bill creation process without PO.
Enter all the information in the distributions and save the bill.
Close the Distribution screen.
139
Click on Actions….1 button.
140
Following screen shall open.
It will show all the prepayments available for application, along with the amount available as well as
the details of the existing prepayment applications in the second half of the window.
Here prepayment number is the Invoice number of the prepayment bills.
These prepayment invoices can be used to apply them on an unpaid bill.
Check the box ‘Apply’ to apply the prepayment on the selected bill.
Click on the ‘Apply/Unapply’ button to apply.
Upon saving the available amount will get reduced by the amount of application and only balance
shall be available for any further application.
This will take the details of the prepayment in the lower section of the window, with the name
‘Existing Prepayment application’.
Similarly, if some mistake is done, then click on the ‘Apply/Unapply’ button and it will undo the
application done before.
After, applying or unapplying the payment, close the screen of Apply/Unapply prepayments.
141
The status of the bill shall change as ‘amount paid’.
In lines, a negative line will be reflected with the type as ‘Prepayment’ reflecting the fact that
prepayment has been applied on this bill.
Click on ‘View prepayment application’ tab to view all the details of the prepayment application on
this bill.
He shall now validate the bill and initiate the approval, in the regular manner.
142
Adjustment of bill where the expenditure is less than the advance
• The amount of excess advance taken by the employee, for incurring expenditure, shall be
recovered from the employee.
• Since employee took an excess advance than the requirement, a penal interest shall also be
collected from the employee along with the unspent amount.
• A standard bill shall be created for recovering unspent amount and then application shall be done.
• This recovery shall be done from the AP module and the Penal interest amount shall be routed from
AR module.
Create a standard bill.. Let us take an example that advance is 10000 and the expense is 8000.
First the cashier will create a standard bill of Rs 2000 .
In the lines, the cashier will. Enter an amount of 2000
Enter the distribution level information. Click on OK and save the bill.
Close the Distributions screen.
Now the cashier will forward the bill file to DDO Assistant for further processing.
DDO Assistant shall open the same bill and change the bill amount to 10000.
At lines level as well, he will change the amount to 10000.
143
At Distribution level, DDO Assistant shall add another line of 8000 and will take account as the
relevant expenditure account.
After this save the bill.
Click on Action. and apply the bill against the advance of 10000.
144
Now the DDO Assistant shall forward the bill to DDO for further processing
• Petty Cash system is the system in which an advance shall be given to the petty cashier for
meeting day-to-day petty expenses.
• Petty cashier does all the expenses out of that advance amount and takes the recoupment
for the expenses incurred.
145
Enter the Invoice Number in the following format: PC-Date-Employee Name as explained below.
Enter the bill amount in the header as well as in the lines and click on distributions.
Distributions form open up with defaulted values in the Amount and Account field.
146
Save the bill and close the distributions screen.
A bill number will automatically get generated.
Run the “Bill Report” for the bill number as explained before. (View Requests Submit a new
Request Single RequestOK ICAR Bill Report Bill Number Submit NoFindView
Output)
Take Print out of bill report and attach with manual documents.
Now forward the bill file to the DDO for further actions.
147
How To Run Bill Report
Navigation
148
Single RequestOK ICAR Bill Report Bill Number OKSubmitNOFind
149
ERP TRAINING MANUAL
Creation of Cheque Series
Audit Section
Prepared by
Anilkumar P P
Joshy C. G
Sreejtih T J
Creation of Cheque Series in ERP
Login to ERP
150
.
Click Create Button
151
A Confirmation Message will be shown
You can Update the cheque series by clicking the Update Icon
152
ERP TRAINING MANUAL
Payments
Audit Section
Prepared by
Anilkumar P P
Joshy C. G
Shyla N C
Payments
Login to ERP
Validation of already created Bills
Enter the Bill Number in the new window and click Find
153
The Bill will open will all the details and the Amount
154
You can see the status is now changed to Validated.
Go to the CIFT Payments Responsibility
Click the Show Navigator icon and then the Switch Responsibility Icon
155
Select CIFT Payment Section and click OK.
156
Search and Select the Vendor/Employee Name and the Payment Date.
157
Add the TDS Invoice Number if there is any.
After Adding all the Vendor Numbers and the associated Invoice Numbers Click on Save
Payments is complete now.
Reports
158
Click OKOptions
159
Select Format as Excel.
Click OKOKSubmitNoFind.
Refresh Data until phase is Completed.
Click Output.
An Excel file will be saved in the system.
If the Bill is addressed to the DDO the Request Name will be ICAR PAYMENT ADVICE
Below is an example of the output of the request.
160
161
ERP TRAINING MANUAL
Budget Upload
Audit Section
Prepared by
Thomas C Mathew
Joshy C G
Sreejith T J
Contents
SL No Title Page No
1 Excel Options 162
2 Internet Options Setting for using WEB ADI in Internet Explorer 164
3 Budget Upload 169
4 Import Journals 178
5 Reports of Budget Upload 182
6 Finance (Funding Upload) 185
Excel Options
Open Microsoft ExcelClick On Excel Options.
162
Click on ActiveX Settings and select the following options.
163
Internet Options Setting for using WEB ADI in Internet Explorer
1. Open Internet Explorer.
2. Press Alt key from Keyboard if Menu Bar is not appearing.
3. Go To Tools > Internet Options
Change the Options as follows
164
165
166
167
Click on Ok and Try Running Web ADI
Restart The system..
168
Budget Upload
Login to ERP
CIFT General Ledger BUDGET UPLAOD
Click Next
Click Next
169
Select Open with & Click OK
New Excel File will open. Wait for few moments then click on Close.
170
Double click on the text box PERIOD NAME, new window will open up for login.
171
After Logging in select CIFT General Ledger
A new Window will open
Search the Period Name (MMM-YY), select the appropriate period & Click Select
172
Double click on the text box BUDGET NAME, a new window will open, select the budget
&click Select.
Double click the text box below Upl(Upload), a flag sign() will appear automatically.
Double click on the text box Fund Type, a new window will open, search the appropriate
Fund Type ,select the Fund Type &click Select.
173
Double click on the text box Scheme Code, a new window will open ,search the appropriate
Scheme code ,select the Scheme Code &click Select.
174
Double click on the text box Budget Account, a new window will open, search the
appropriate Budget head, select the budget account &click Select.
Enter the Amount in the box DEBIT for the particular budget head.
175
Likewise enter the total budget as shown in the Screenshot below.
Click ADD-InsOracleUpload
176
A new window will open Select Flagged Rows and Click Upload
After upload a Green Smiley will appear in the row which are uploaded successfully.
177
Import Journals.
Once the Data is uploaded, you need to run Program - Import Journals.
Import Journals New window will open Enter the Source (Spreadsheet), Ledger
(ICAR),
Specific value will be created automatically Import.
A new window will open messaging “Sure that you want to start Journal Import” Yes.
Unique ID number will be created Ok.
178
ViewRequests Find Select the request IDView Output.
179
A new tab will open in firefox, Copy the batch number.
Close the Tab, go back to Oracle Application and click the navigator Icon
Enter Journal Open A new window will open
180
Enter the Batch number Find.
181
Reports of Budget Upload
Find the request name ICAR Budget - Funds Inquiry Report - For Institute
182
Enter the Parameters
Institute Lower/Higher Page Break Range : 506/506
Budget : Funding
Period Name : MMM-YY
Fund Type : 200 Grants/Non Plan
Scheme Code : 00000 Default
Click OKSubmitNOFind
Click Refresh Data until the Phase is Completed
Click View Output
183
184
FINANCE
Before upload process, Excel Setting and Internet Options need to be changed.
Both PDF files are attached.
Login
Click Next
Click Next
185
Click Create Document
New Excel File will open. Wait for a few moments, then click on Close.
186
Double click on the text box PERIOD NAME, new window will open up for login.
187
After Logging in select CIFT General Ledger
A new Window will open
Search the Period Name (MMM-YY), select the appropriate period & Click Select
188
Double click on the text box FUNDINGs,a new window will open ,select the budget &click
Select.
Double click the text box below Upl(Upload), a flag sign() will appear automatically.
189
Double click on the text box Fund Type,a new window will open ,search the appropriate
Fund Type ,select the Fund Type &click Select.
Double click on the text box Scheme Code,a new window will open ,search the appropriate
Scheme code ,select the Scheme Code &click Select.
Double click on the text box Budget Account, a new window will open, search the
appropriate Budget head, select the budget account &click Select.
190
Enter the Amount in the box DEBIT for the particular budget head.
191
Click ADD-InsOracleUpload
192
Once the data is uploaded, system will generate the upload message
• Once the Data is Uploaded, you need to run Program - Import Journals.
193
• Import Journals New window will open Enter the Source
(Spreadsheet), Ledger (ICAR),
o Specific value will be created automatically Import.
• A new window will open messaging “Sure that you want to start Journal
Import” Yes.
• Unique ID number will be created Ok.
194
• For viewing the output of the report you have submitted, click on View Output.
195
• Enter Journal Enter A new window will open Enter the Batch
number Find.
196
• Select the Id Review Journal Post.
197