Difference between revisions of "Credit Card Processing For Expense Entry"

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<li>[[Training 6: Accounting]]</li>
 
<li>[[Training 6: Accounting]]</li>
 
<li>[[Bank Transfer]]</li>
 
<li>[[Bank Transfer]]</li>
 +
<li>[[Voucher Transaction]]</li>
 
<li>[[Non-Policy Related Checks]]</li>
 
<li>[[Non-Policy Related Checks]]</li>
 
</ul>
 
</ul>
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</tr>
 
</tr>
 
</table>
 
</table>
All non-policy related expense transactions are recorded as wire or regular checks using the [[Non-Policy Related Checks]] interface.
+
All non-policy related expense transactions are recorded using the [[Voucher Transaction]] interface.'' (Optionally, Accounting -> [[Non-Policy Related Checks]]. can be used.)''
  
The interface supports multiple [[General Ledger Profile]] expense entries per transaction.  The checks are all recorded under GL 2130: Vendor Payables. When a transaction is recorded, the debit is recorded against the entered [[Bank Profile]], which can be a bank account, or an alternate bank account such as a credit card.   
+
The interface supports multiple [[General Ledger Profile]] expense entries per transaction.  Voucher invoices are created when an expense is received, and can be [[Voucher Transaction#Voucher Transaction: Payment|paid immediately, or at a later date]]. When a voucher invoice is paid, the debit is recorded against the entered [[Bank Profile]], which can be a bank account, or an alternate bank account such as a credit card.   
  
 
This procedure outlines the day-to-day process of recording expense entries using a credit card, and posting a credit card payment against the balance.   
 
This procedure outlines the day-to-day process of recording expense entries using a credit card, and posting a credit card payment against the balance.   
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*Reports can be completed for total expense based on type, or total expense per vendor.  
 
*Reports can be completed for total expense based on type, or total expense per vendor.  
 
*Credit Card statements can be reconciled in Newton using [[Bank Reconcile]].  
 
*Credit Card statements can be reconciled in Newton using [[Bank Reconcile]].  
 +
 +
''(Alternatively, if individual transactions for each expense are not desired, and reports by vendor are not needed, a single [[Voucher Transaction]] or [[Non-Policy Related Checks|non-policy related check]] can be created with each expense general ledger account entered as a monthly total.)''
  
 
== Create a New Credit Card Bank Profile ==
 
== Create a New Credit Card Bank Profile ==
 
All expenses will be recorded to a dedicated [[Bank Profile]], which represents a credit card balance.  
 
All expenses will be recorded to a dedicated [[Bank Profile]], which represents a credit card balance.  
#Select '''Profiles -> Bank'''.
+
#Select '''Setup -> Bank'''.
#Select '''Add'''.  
+
#Select '''Create New'''.  
 
#Enter a unique code (From Example: '''300''').
 
#Enter a unique code (From Example: '''300''').
 
#Enter a name. (From Example: '''CC MC 9999''').
 
#Enter a name. (From Example: '''CC MC 9999''').
 
#Select '''Save -> Exit'''.
 
#Select '''Save -> Exit'''.
  
[[File:Cc-bankprofile.png]]
+
[[File:setup-cc-bankprofile.png]]
  
 
== Create Expense Entry Charged to Credit Card ==
 
== Create Expense Entry Charged to Credit Card ==
For more information regarding vendor payables, see [[Non-Policy Related Checks]].
+
For more information regarding vendor payables, see [[Voucher Transaction]].
 +
 
 +
#Select '''Vendor''' -> '''Voucher Transaction'''.
 +
#Select a '''Vendor Code'''.  This value will pre-fill if '''Create Voucher''' is selected from the [[Vendor Tab|vendor tab]].
 +
#Verify the '''Payable G/L'''.  This value will pre-fill from your Agency profile, and is typically 2130: Vendor Payable.
 +
#Select a '''Payable Date'''.
 +
#Optionally enter a vendor invoice reference number and voucher description.
 +
#Enter the total '''Payable Amount''' for the voucher.
 +
#Enter the '''General Ledger Code''' or '''General Ledger Account Name''', '''Department''', and '''Amount''' for the first distribution.
 +
#:Enter name of the account, and the drop list will filter only items with partial or complete matches.
 +
#Repeat the process for each line until all general ledger distributions are entered. ''(At any time, select the '''red X''' to the right of a distribution to remove an entry.)''
 +
#Select '''Save''' when done to create the voucher.
 +
 
 +
Example: Two Vendor Payable Voucher Transactions
  
#Select '''AP -> Check Transaction -> Non-Policy Related'''.
+
[[File:cc-voucher-entry1.png]] [[File:cc-voucher-entry2.png]]
#Enter the '''[[Vendor Profile|Vendor Code]]'''.
 
#Enter the credit card '''Bank Code'''. ''([[#Create a New Credit Card Bank Profile|From Example: 300]])''
 
#Enter the '''Payable Date'''.
 
#Enter a short '''Description'''.
 
#Enter the [[General Ledger Profile|'''GL Code''' for the expense]].
 
#Enter the [[Department Profile|'''Department Code''']].
 
#Enter the '''Sub GL''' if necessary.
 
#Enter the '''Amount'''.
 
#Select '''Accept'''.
 
#Repeat steps 6-10 until all GL entries are listed.
 
#When finished, select '''Save''', then '''Exit'''.
 
  
Example: Two Vendor Payable Transactions
+
When a voucher is created, the Agency Systems will automatically prompt to '''pay now''', '''pay later''', or '''pay multiple'''.
 +
:[[File:Vendor-voucher-pay.png]]
  
[[File:Cc-checkentry.png]] [[File:Cc-checkentry2.png]]
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Select '''Pay Now''' to create a wire check to pay the voucher using the credit card bank (From Example: '''300''').
 +
:[[File:cc-voucher-createcheck.png]] [[File:cc-voucher-createcheck2.png]]
  
 
[[#Create Expense Entry Charged to Credit Card|Enter additional checks for each expense]] charged to the credit card.   
 
[[#Create Expense Entry Charged to Credit Card|Enter additional checks for each expense]] charged to the credit card.   
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All [[Bank Profile|bank codes]] are displayed under GL 1100, including the current credit card balance.  
 
All [[Bank Profile|bank codes]] are displayed under GL 1100, including the current credit card balance.  
  
[[File:Cc-balancesheet.PNG]]
+
[[File:Cc-balancesheetbank300.PNG]]
  
 
==== View GL Detail Entries ====
 
==== View GL Detail Entries ====
'''GL -> General Ledger Detail''' for '''GL 1100 SubType 300''' displays all transactions for the specified period.  
+
'''Reports -> General Ledger Detail''' for '''GL 1100 SubType 300''' displays all transactions for the specified period.  
  
[[File:Cc-gldet-filters.png]]  
+
[[File:Cc-gldet-bank300filters.png]]  
  
[[File:Cc-gldet-report.PNG]]
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[[File:Cc-gldet-bank300report.PNG]]
  
 
==== View Income & Expense Entries ====
 
==== View Income & Expense Entries ====
'''GL -> Income & Expense''' [[#Create Expense Entry Charged to Credit Card|displays the totals entered for each expense GL]].
+
'''Reports -> Income & Expense''' [[#Create Expense Entry Charged to Credit Card|displays the totals entered for each expense GL]].
  
[[File:Cc-incexp.PNG]]
+
[[File:Cc-bank300incexp.PNG]]
  
 
==== View Vendor Payable Entries ====
 
==== View Vendor Payable Entries ====
'''AP -> Check Reports -> Check Register''' displays the totals entered for all vendors, or for a specific vendor if a Sub GL is used.  
+
'''Reports -> Check Reports -> Check Register''' displays the totals entered for all vendors, or for a specific vendor if a Sub GL is used.  
  
[[File:Cc-checkreg-filters.png]]
+
[[File:Cc-checkregbank300-filters.png]]
  
[[File:Cc-checkreg-report.PNG]]
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[[File:Cc-checkregbank300-report.PNG]]
 
== Pay Credit Card Balance with Bank Transfer ==
 
== Pay Credit Card Balance with Bank Transfer ==
 
See [[Bank Transfer]] for setup and additional instructions.  
 
See [[Bank Transfer]] for setup and additional instructions.  
  
#Select '''GL -> Bank Transfer'''.
+
#Select '''Accounting -> Bank Transfer'''.
 
#Enter the '''Source Bank Code'''.
 
#Enter the '''Source Bank Code'''.
 
#Enter the '''Destination Bank Code''' for the credit card. ''([[#Create a New Credit Card Bank Profile|From Example: 300]])''
 
#Enter the '''Destination Bank Code''' for the credit card. ''([[#Create a New Credit Card Bank Profile|From Example: 300]])''
 
#Enter the '''Payment Amount'''.  
 
#Enter the '''Payment Amount'''.  
 
#Confirm the remaining details and select '''Ok'''.  
 
#Confirm the remaining details and select '''Ok'''.  
#:[[File:Cc-banktransf.png]]
+
#:[[File:Cc-bank300transf.png]]
 
#The transfer between [[Bank Profile|bank accounts]] will be processed and a confirmation displayed.  
 
#The transfer between [[Bank Profile|bank accounts]] will be processed and a confirmation displayed.  
#:[[File:Cc-banktransf-complete.png]]
+
#:[[File:Cc-bank300transf-complete.png]]
  
When finished, a [[Report:General Ledger Detail|GL Detail Report]] will display the transfer, adjusting the bank balance.  
+
When finished, a [[Report: General Ledger Detail|GL Detail Report]] will display the transfer, adjusting the bank balance.  
  
[[File:Cc-banktransf-gldet.PNG]]
+
[[File:Cc-bank300transf-gldet.PNG]]

Latest revision as of 20:47, 25 March 2019

Related Pages
Related Categories

All non-policy related expense transactions are recorded using the Voucher Transaction interface. (Optionally, Accounting -> Non-Policy Related Checks. can be used.)

The interface supports multiple General Ledger Profile expense entries per transaction. Voucher invoices are created when an expense is received, and can be paid immediately, or at a later date. When a voucher invoice is paid, the debit is recorded against the entered Bank Profile, which can be a bank account, or an alternate bank account such as a credit card.

This procedure outlines the day-to-day process of recording expense entries using a credit card, and posting a credit card payment against the balance.

  • Each expense transaction is recorded individually, to the appropriate vendor (Electronic Store, Utility Company, Grocery Store etc).
  • Entries can be recorded immediately instead of as a lump sum at the end of the month.
  • The current credit card balance can be viewed from the Balance Sheet.
  • Reports can be completed for total expense based on type, or total expense per vendor.
  • Credit Card statements can be reconciled in Newton using Bank Reconcile.

(Alternatively, if individual transactions for each expense are not desired, and reports by vendor are not needed, a single Voucher Transaction or non-policy related check can be created with each expense general ledger account entered as a monthly total.)

Create a New Credit Card Bank Profile

All expenses will be recorded to a dedicated Bank Profile, which represents a credit card balance.

  1. Select Setup -> Bank.
  2. Select Create New.
  3. Enter a unique code (From Example: 300).
  4. Enter a name. (From Example: CC MC 9999).
  5. Select Save -> Exit.

Setup-cc-bankprofile.png

Create Expense Entry Charged to Credit Card

For more information regarding vendor payables, see Voucher Transaction.

  1. Select Vendor -> Voucher Transaction.
  2. Select a Vendor Code. This value will pre-fill if Create Voucher is selected from the vendor tab.
  3. Verify the Payable G/L. This value will pre-fill from your Agency profile, and is typically 2130: Vendor Payable.
  4. Select a Payable Date.
  5. Optionally enter a vendor invoice reference number and voucher description.
  6. Enter the total Payable Amount for the voucher.
  7. Enter the General Ledger Code or General Ledger Account Name, Department, and Amount for the first distribution.
    Enter name of the account, and the drop list will filter only items with partial or complete matches.
  8. Repeat the process for each line until all general ledger distributions are entered. (At any time, select the red X to the right of a distribution to remove an entry.)
  9. Select Save when done to create the voucher.

Example: Two Vendor Payable Voucher Transactions

Cc-voucher-entry1.png Cc-voucher-entry2.png

When a voucher is created, the Agency Systems will automatically prompt to pay now, pay later, or pay multiple.

Vendor-voucher-pay.png

Select Pay Now to create a wire check to pay the voucher using the credit card bank (From Example: 300).

Cc-voucher-createcheck.png Cc-voucher-createcheck2.png

Enter additional checks for each expense charged to the credit card.

View Credit Card Balance

The expense entries will be automatically posted to the system General Ledger, and available on a number of reports.

View Balance Sheet Entries

All bank codes are displayed under GL 1100, including the current credit card balance.

Cc-balancesheetbank300.PNG

View GL Detail Entries

Reports -> General Ledger Detail for GL 1100 SubType 300 displays all transactions for the specified period.

Cc-gldet-bank300filters.png

Cc-gldet-bank300report.PNG

View Income & Expense Entries

Reports -> Income & Expense displays the totals entered for each expense GL.

Cc-bank300incexp.PNG

View Vendor Payable Entries

Reports -> Check Reports -> Check Register displays the totals entered for all vendors, or for a specific vendor if a Sub GL is used.

Cc-checkregbank300-filters.png

Cc-checkregbank300-report.PNG

Pay Credit Card Balance with Bank Transfer

See Bank Transfer for setup and additional instructions.

  1. Select Accounting -> Bank Transfer.
  2. Enter the Source Bank Code.
  3. Enter the Destination Bank Code for the credit card. (From Example: 300)
  4. Enter the Payment Amount.
  5. Confirm the remaining details and select Ok.
    Cc-bank300transf.png
  6. The transfer between bank accounts will be processed and a confirmation displayed.
    Cc-bank300transf-complete.png

When finished, a GL Detail Report will display the transfer, adjusting the bank balance.

Cc-bank300transf-gldet.PNG