Account Payable Process
Account Payable Process
Account Payable Process
Let us do all the process that is followed in each step. First of all to create voucher, let us create a new vendor so that we can use this vendor ID in our voucher creation process.
Vendor Setup:
To add a new vendor click on vendor content reference by going through the navigation that is mentioned below. Persistence is a translate field with translate values: i. ii. iii. iv. One Time Regular Permanent Single Pay
Main Menu > Vendors > Vendor Information > Add/Update > Vendor
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Now Persistence field value is with default value Regular. Click Add button so that the entire panel opens with all the fields that are to be filled.
Main Menu > Vendors > Vendor Information > Add/Update > Vendor
This vendor summary page is read only. we see that the Status of the vendor in Unapproved state. Generally, vendor approving step is done by higher priorities i.e. the resource who has higher authority than us. Here we will open the vendor panel and change the Status from Unapproved to Approved. So that the existing row is updated to approved status only no new row is created.
Main Menu > Vendors > Vendor Information > Add/Update > Vendor
Tables:-
Action
Vendor Creation
vendor_loc vendor_cnct
In this step we create a new Regular voucher. By default when click the content reference Regular Entry automatically Add a new value panel opens instead of Search Page. These can be changed at Component properties. By default when Add a New Value panel appears then these are the default values to the fields
i. ii. iii.
iv.
Main Menu > Accounts Payable > Vouchers > Add/Update > Regular Entry
In below, Invoice Date should be less than or equal to current date. Invoice Number should be manually entered. When the voucher is saved then automatically Voucher ID will be generated.
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Main Menu > Accounts Payable > Vouchers > Add/Update > Regular Entry
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Click on the Magnifying glass symbol which is a Vendor prompt table grouped by SetID and Vendor ID. Below figures shows the list of vendors filtered using %61 in Vendor ID field and click LookUp.
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Click on the Vendor ID that was created so that the Vendor, Name, Location and Address fields are automatically generated.
Main Menu > Accounts Payable > Vouchers > Add/Update > Regular Entry
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In the summary page below there are voucher details like voucher ID, Approval status, Post Status etc. Here the Post Status is Unposted. So voucher must be posted.
Main Menu > Accounts Payable > Vouchers > Add/Update > Regular Entry
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In below figure Approval field is an translate field with translate values: i. ii. iii. Pre-Approved Default from Higher Level Specify at this Level
This voucher approval is also done by higher authorities. But here Finance was Setup in such a way that when voucher is saved automatically the voucher is Pre-Approved.
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Tables:-
Action
Voucher Save
distrib_line pymnt_vchr_xref
Voucher Posting:
Main Menu > Account Payables > Batch Processes > Vouchers > Voucher Posting
We can use the existing Run Control ID or you may also create new Run Control ID. Now enter the value and click Add button so that the Voucher Posting Request window opens. After filling the required fields click Save and then to run the process click Run button.
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In below Process Scheduler Request window, can view the process name which is running with few parameters related to process.
Now click OK button so that Process Instance is developed for the process and Voucher Posting Request panel is displayed.
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Initially the Run Status is Processing and Distribution Status is N/A. when the process execution is success then the Run Status is Success and after few seconds by clicking the Refresh button the Distribution Status changes from Posting to Posted
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There is a chance to check whether Voucher is posted or not in PIA by going through below navigation. Main Menu > Accounts Payable > Review Accounts Payable Info > Vouchers > Accounting Entries
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Process:-
Tables:-
Action
Tables voucher
Voucher Posted
distrib_line vchr_acctg_line
Payment Creation:
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Main Menu > Accounts Payable > Payments > Pay Cycle Processing > Payment Selection Criteria
Based on the Business Unit that was selected, Bank and Account field must be selected in Bank/Method tab.
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Initially the Pay Cycle Status will be Running and Schedule Payments Selected is 0 On clicking Refresh button after few seconds the Pay Cycle Status changes to Selected and Schedule Payments Selected becomes 2.
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Initially the Pay Cycle Status will be Running and later changes to Approved
Now the Trial Register link gets activated in Pay Cycle Manager. (Grey color turns into blue)
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Click on Trial Register link so that check can be developed and viewed.
We can use existing Run Control ID or can create new Run Control ID. Here Iam using the existing Run Control ID : US001
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Click on OK button so that new instance will be created for the process.
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Click on View Log/Trace link which is in active state in Actions Pane in the above figure.
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Click on APY2030- 12673.PDF link to view the generated check in the browser.
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Process:30
Instance Process Type Process Name Emplid Run Status Distribution Status
Action
Payment Posting:
Main Menu > Accounts Payable >Batch Processes > Payment > Payment Posting
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Click Save and single click on Run button to run the process. Process Scheduler Request panel opens in which we can view Process related data with few parameters.
Click Ok button so that the instance will be developed for the running process.
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Click the Process Monitor link which is in active state to view the status of the running process.
The Run Status will be processing and Distribution Status is N/A in process Monitor.
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The process executed successfully can be known by Run Status field. Here the Run Status is Success and Distribution Status is Posted. To check the payment related details through the below navigation.
Main Menu > Accounts Payable > Review Accounts Payable Info > Payments > Payment
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Process:Instance Process Type Process Name Emplid Run Status Distribution Status 12682 Application Engine AP_PSTPYMNT VP2 Success Posted
General Ledger is a Book or Registry where all the transaction related to every module is stored. This is done by running Journal Generator.
Main Menu > General Ledger > Journals > Subsystem Journals > Generate Journals
Select the Post checkbox in Journal Processing Options. Fill the required fields and click Save. To run the process click Run button then Process Scheduler Request window opens and displays the process name which is running with some parameters Parameters like Server Name, Run Date, Emplid, Run Control ID, Type, Format, etc.
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Click OK button so that the Process Instance is developed for the process.
Now click Process Monitor to view the status of the running process. Initially Run Status is Processing and Distribution Status is N/A.
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Now the Run Status changes from Processing to Success and Distribution Status is Posted.
Click on Details link which is active in Process Monitor panel to view Process Detail.
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Click on View Log/Trace link in Process Detail panel to view the list files that are generated as outputs.
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Click on AE_FS_JGEN_12691.stdout link which is generated and active to see whether the journal is created or not. The file is opened in new window so that we can view whether journal is generated with errors or ended normally.
Main Menu > General Ledger > Journals > Journal Entry > Create/Update Journal Entries
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In the above journal summary page we can view the journal related data and fields. With P alphabet symbol in Journal Status field indicated that Journal is Posted.
Process:42
Instance Process Type Process Name Emplid Run Status Distribution Status
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