Difference between revisions of "Reconcile Payables Batch"
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(Redirected page to Newton Release Notes: November 2014#Batch Reconcile Payables) |
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− | # | + | [[Category:Agency Bill]][[Category:Direct Bill]][[Category:Payables]][[Category:Checks]] |
+ | <table class="infobox" cellspacing="5" style="background-color: #FFFFFF; width:27em; text-align:left; border-spacing: 2px; line-height:1.5em;"> | ||
+ | <tr style="background-color: #bdbdbd; text-align: center; font-weight:bold;"> | ||
+ | <td>Related Pages</td> | ||
+ | </tr> | ||
+ | |||
+ | <tr> | ||
+ | <td> | ||
+ | <ul> | ||
+ | <li>[[Company Profile]]</li> | ||
+ | <li>[[Producer Profile]]</li> | ||
+ | <li>[[Reconcile Company Payables]]</li> | ||
+ | <li>[[Reconcile Producer Payables]]</li> | ||
+ | <li>[[Training 6: Accounting]]</li> | ||
+ | </ul> | ||
+ | </td> | ||
+ | </tr> | ||
+ | <tr style="background-color: #d3d3d3; text-align: center; "> | ||
+ | <td>Related Categories</td> | ||
+ | </tr> | ||
+ | <tr> | ||
+ | <td> | ||
+ | <ul> | ||
+ | <li>[[:Category:Agency Bill|Agency Bill]]</li> | ||
+ | <li>[[:Category:Checks|Checks]]</li> | ||
+ | <li>[[:Category:Direct Bill|Direct Bill]]</li> | ||
+ | <li>[[:Category:Payables|Payables]]</li> | ||
+ | </ul> | ||
+ | </td> | ||
+ | </tr> | ||
+ | </table> | ||
+ | |||
+ | Reconcile Payables [[Newton Release Notes: November 2014|now includes]] a batch processing option for both [[Company Profile|companies]] and [[Producer Profile|producers]]. The batch process will search all companies or producers in the date range specified, and save a reconcile in progress for each individual code. The individual payables can then be adjusted if necessary, or processed with a single step. | ||
+ | |||
+ | For example, all producer payable reconciles can be paid with a single action, creating an individual check for each producer code. | ||
+ | |||
+ | Access to batch reconcile payable requires the following security: | ||
+ | *Other -> [[Security System]] -> AP -> [[Reconcile Payables (disambiguation)|Reconcile Payables]] -> View and Entry. | ||
+ | *Other -> [[Security System]] -> AP -> [[:Category:Checks|Check Transaction]] -> Entry. | ||
+ | *Other -> [[Security System]] -> Profiles -> [[Company Profile|Company]] -> View (For batch company payables). | ||
+ | *Other -> [[Security System]] -> Profiles -> [[Producer Profile|Producer]] -> View (For batch producer payables). | ||
+ | |||
+ | == Batch Create Company or Producer Payables == | ||
+ | #Select one of the payable menu options: | ||
+ | #:*Select '''AP -> Reconcile Payables Batch -> Batch Create Company Payables''' | ||
+ | #:*Select '''AP -> Reconcile Payables Batch -> Batch Create Producer Payables''' | ||
+ | #:The batch create window will display, pre-filled with the default reconcile start and end dates. (''AP -> Reconcile Payables -> Other -> Change Default Dates...'') | ||
+ | #:[[File:batchcreatereconciles.png]] | ||
+ | #Enter an amount in the '''Ignore if Payment Below''' field to limit the matches to a minimum payable value. | ||
+ | #Select to either '''Pay Full Amount''', or '''Pay Trust Amount'''. | ||
+ | #Enter the default bank code for all check transactions, and the default check type. (''These can be changed individually for each matching payable''). | ||
+ | #When finished, select '''Ok'''. The system will automatically search for all company or producer codes which meet the selected criteria. | ||
+ | #When finished, a summary page is displayed for each code. The report also includes codes which do not have any matching invoices, or codes with a balance below the required amount (credit balance). | ||
+ | #Select '''Ok''' to view a complete list of all codes with a payable balance. | ||
+ | #:[[File:batchcreatereconciles-cmp.png]] | ||
+ | |||
+ | Each matching payable is now saved as a reconcile-in-progress. ''(If desired, the window can be closed, and the process resumed at a later date.)'' | ||
+ | |||
+ | == Batch Process Company or Producer Payables == | ||
+ | #Select one of the payable menu options: | ||
+ | #:Select '''AP -> Reconcile Payables Batch -> Batch Process Company Payables''' | ||
+ | #:Select '''AP -> Reconcile Payables Batch -> Batch Process Producer Payables''' | ||
+ | #:The batch process window will display showing all pending batch reconcile payables. (''If no items are listed, first [[#Batch Create Company or Producer Payables|create a company or producer payable batch]]''.) | ||
+ | #:[[File:batchcreatereconciles-cmp.png]] | ||
+ | #'''Right-Click -> Edit Reconcile...''' to view all details for an item. The '''Reconcile Payables''' window will open allowing for invoice adjustments, invoice line detail, and payment detail modifications. | ||
+ | #:[[File:batchprocessreconcile-rightclick.png]] | ||
+ | #Select the desired items to process, or click '''Select All''' to select all pending reconciles. The total payment amount and earned commission ''(GL 2110 - Company Payables Only)'' will be calculated and displayed at the bottom of the window. | ||
+ | #:[[File:Batchprocessreconcile-selectall.png]] | ||
+ | #Select '''Process Selected''' to complete the reconcile for each selected item, creating a physical check or a wire check for each item. ''(Select '''Cancel Selected''' to remove all items.)'' | ||
+ | #:[[File:batchreconcile-processing-progressbars.png]] | ||
+ | #:Example: Individual checks created for each payable sub-gl. | ||
+ | #:[[File:Batchprocessreconcile-checkregister.png]] | ||
+ | #When finished, select '''Yes''' to transfer any earned commission between bank accounts. ''(GL 2110 - Company Payables Only)'' | ||
+ | #:[[File:batchprocessreconcile-transferec.png]] | ||
+ | #:Complete the [[Bank Transfer]] to transfer the earned income between accounts. | ||
+ | #Close the Batch Process Reconciles window when finished. |
Revision as of 17:30, 28 October 2014
Related Pages |
Related Categories |
Reconcile Payables now includes a batch processing option for both companies and producers. The batch process will search all companies or producers in the date range specified, and save a reconcile in progress for each individual code. The individual payables can then be adjusted if necessary, or processed with a single step.
For example, all producer payable reconciles can be paid with a single action, creating an individual check for each producer code.
Access to batch reconcile payable requires the following security:
- Other -> Security System -> AP -> Reconcile Payables -> View and Entry.
- Other -> Security System -> AP -> Check Transaction -> Entry.
- Other -> Security System -> Profiles -> Company -> View (For batch company payables).
- Other -> Security System -> Profiles -> Producer -> View (For batch producer payables).
Batch Create Company or Producer Payables
- Select one of the payable menu options:
- Select AP -> Reconcile Payables Batch -> Batch Create Company Payables
- Select AP -> Reconcile Payables Batch -> Batch Create Producer Payables
- The batch create window will display, pre-filled with the default reconcile start and end dates. (AP -> Reconcile Payables -> Other -> Change Default Dates...)
- Enter an amount in the Ignore if Payment Below field to limit the matches to a minimum payable value.
- Select to either Pay Full Amount, or Pay Trust Amount.
- Enter the default bank code for all check transactions, and the default check type. (These can be changed individually for each matching payable).
- When finished, select Ok. The system will automatically search for all company or producer codes which meet the selected criteria.
- When finished, a summary page is displayed for each code. The report also includes codes which do not have any matching invoices, or codes with a balance below the required amount (credit balance).
- Select Ok to view a complete list of all codes with a payable balance.
Each matching payable is now saved as a reconcile-in-progress. (If desired, the window can be closed, and the process resumed at a later date.)
Batch Process Company or Producer Payables
- Select one of the payable menu options:
- Select AP -> Reconcile Payables Batch -> Batch Process Company Payables
- Select AP -> Reconcile Payables Batch -> Batch Process Producer Payables
- The batch process window will display showing all pending batch reconcile payables. (If no items are listed, first create a company or producer payable batch.)
- Right-Click -> Edit Reconcile... to view all details for an item. The Reconcile Payables window will open allowing for invoice adjustments, invoice line detail, and payment detail modifications.
- Select the desired items to process, or click Select All to select all pending reconciles. The total payment amount and earned commission (GL 2110 - Company Payables Only) will be calculated and displayed at the bottom of the window.
- Select Process Selected to complete the reconcile for each selected item, creating a physical check or a wire check for each item. (Select Cancel Selected to remove all items.)
- When finished, select Yes to transfer any earned commission between bank accounts. (GL 2110 - Company Payables Only)
- Complete the Bank Transfer to transfer the earned income between accounts.
- Close the Batch Process Reconciles window when finished.