FINANCE TRAINING. Procurement Card Transactions Verification

Similar documents
1A. Requisition Type = One Time Goods/Service Purchase or Open Purchase Order. Click OK. 1B. Click the hyperlink for Request Non-Catalog Items

Travel FAQ: Spend Authorization & Expense Report

How to Process a Hire

P-Card Expense Report

CREATING INVOICES FOR WORKDAY PROCESSING

Creating Expense Reports and Spend Authorization Requests

Helpful Hint Users will only have access to those employees who fall within their security role.

Certify User Guide INVOICE REPORTS

Employee Training Guide. Workday V 26.3

Procurement Card Exercise Workbook. PeopleSoft Procurement Card

Quick Reference for Project View Managers

A. Locating the Job Requisition:

Workday Basics for Engineering Managers

Board of Regents of the University System of Georgia etime Employee User Guide. Project View Time Card for Monthly Employees (Manager or Supervisor)

Company Activities Part II

CDS LOGON SCREEN. ! Type your assigned logon (may be case sensitive) to the Cashier Deposit System (CDS).

Add Job for Student Worker (Hire)

REFERENCE GUIDE. January, 2018

Purchase Requisitions and Receiving

Company Activities Part II

General Ledger Table of Contents. Accounts Overview General Journal Entries Overview Jobs Overview

Supervisor Overview for Staffing and Scheduling Log In and Home Screen

Contents OVERVIEW... 3

Contents OVERVIEW... 3 CONFIGURATION... 4

Travel and Expense-Expense Report

KFS Training Manual Labor Ledger Basics

Workflow Process: Sales Orders

Purchasing Card Reconciliation

OMNI AR/Billing: Creating an Online (Standard or Manual) Bill Detailed Business Process Guides

Connecting Time Matters/Billing Matters and QuickBooks. 35*45 Consulting - Global 7 Second System

Kuali Cashier Applications

Taleo Talent Management System Training. Student Workers. 10/10/ P a g e

The name of the supervisory organization in which the position was created.

Halogen Performance Management System. Manager s Guide to Completing Year-End Performance Appraisals

Workday Expense Frequently Asked Questions and Answers

Online Payment Requests

All A&M System employees will access Workday through Single Sign On (SSO). Workday Home Page

How to Approve or Reject an Expense Report. & Approver Checklist. Approver Checklist

ConnectWise-Sage 50 Accounts User Guide

ROCS GUIDE TO INITIATOR/AUTHORIZER 1 ROLE I. INTRODUCTION TO THE INITIATOR/AUTHORIZER 1 ROLE

Accounts Payable Enter a non-po voucher

Description: This manual describes the process for a TCAT user to submit a requisition through Jaggaer for approval.

GRBonline Bill Pay User Guide

CAREER MANAGER, CAREER MANAGER SENIOR LEADER, VP OR PARTNER, HR TALENT CONSULTANT AND EXCEPTION APPROVER

Board of Regents of the University System of Georgia etime Employee User Guide

KNOWLEDGE Builder. Clinical Reviewer Workflow. Try It Out

STUDENT SUPERVISOR: TIME APPROVAL

Manager Dashboard User Manual

Use this process to complete a performance appraisal for employees who are RNs, and who do not require an additional clinical reviewer.

Navistar Direct Ship isupplier Portal Supplier User Guide (v1 9/26/2012)

Completing the Take Payment Wizard

Kronos Workforce Central v8.0 Upgrade Guide for Timecard Approvers

Hire a Student Worker

Costpoint 7 Employee Instructions Vighter Medical Group, LLC

CHAPTER 10 ACQUISITION AND PAYMENTS

Job Enhanced Billing

Clarity Accounts Payable Year-end Procedure Guide 2017

Workday: Add, Edit, and Approve Goals for Performance Review (Manager/Talent Analyst)

Team Card Exercise Workbook. PeopleSoft Team Card

1. Once you are ready to review applicants, go to the Jobs tab and select the job you are ready to review.

MUNIS Financials Quick Reference Guide

MERIT PLANNING USER GUIDE 2018 Merit Planning Cycle

How To Submit Invoice via the Portal. July 8, 2013

Quick Start Guide. Support Support phone:

TIM EMPLOYEE MANUAL SET TO MANUAL TIME ENTRY <SHR SHRA NON-EXEMPT EMPLOYEES A NON-EXEMPT EMPLOYEES SET TO MANUAL TIME ENTRY>

Entrepreneur. Getting Started

EMPLOYEE JOB AID GETTING STARTED IN WORKDAY KEY ICONS ICON FUNCTION DESCRIPTION

GENERAL JOURNAL TRANSACTIONS AND REPORTS

Bristow. FAQ- Using Manager Self Service in the System

EMPLOYEE JOB AID COMPLETE SELF EVALUATION

KRONOS EMPLOYEE TRAINING GUIDE

Workday Procurement. CMSD Workday Finance and Procurement

TRAINING GUIDE ORACLE ISUPPLIER PORTAL ISUPPLIER PORTAL FUNCTIONS

02_Create Requisition Search Catalog

Accounts Payables Accruals

QUICKBOOKS PRO 2008 WORKSHOP 5: PART A MARS COMPANY

Chapter 3 Inventory. Objectives. QuickBooks Tools for Tracking Inventory

TIMEaccess. Bi-Weekly Time Manager Training Guide Created on Saturday, November 21, 2009

Contents OVERVIEW... 3

Month-end Tasks. Chapter 1: Month-end tasks 340. Chapter 2: Reviewing your trial balance 344. Chapter 3: Adjusting budgets 346

Accounts Payable PARTICIPANT WORKBOOK

The quick, easy and FREE way to pay your bills online!*

Hire Employee. Engineering Human Resource Contact Information. Navigating Workday Accessing Workday

University of North Dakota PeopleSoft Finance Tip Sheets. Vendor Payment Inquiry

Human Capital Management: Step-by-Step Guide

UAB GA End User Award Status Inquiry Invoice Review

Student Initial NewHire or TNEWEH EPAF Example. This is used to hire a student who has never worked at Reed before.

Consignee Guide. Version 1.8

Workday Procurement Create Requisition for Non-Catalog Goods or Services Implementation Tenant -

Word on Workday NOVEMBER 2017 WEEK 2

CAREER MANAGER, HR, FINANCE/SBS, AND GLOBAL MOBILITY JOB AID

WORKDAY: Appraising Performance General Workflow

How to Create an Annual Appraisal Rating Official (RO) Contents

CENTRAL SUSQUEHANNA INTERMEDIATE UNIT Application: HR/Payroll

Tabs3 Quick Start Guide

KNOWLEDGE Builder. WORKDAY: Nursing Workflow. Try It Out

Concur Travel Expense Management System User s Guide

Human Capital Management: Step-by-Step Guide

Accessing the Application... 1 User Roles Supervisor... 1 Employee(s)... 1 Reviewer - (Optional)... 1 Approver(s) - (Optional)...

TRAINING DOCUMENT Internet Expenses Administrator

Transcription:

FINANCE TRAINING Procurement Card Transactions Verification CONTENTS: 1. VERIFY PROCUREMENT CARD TRANSACTION 2. VIEW AND EDIT PROCUREMENT CARD TRANSACTION VERIFICATIONS 3. SPLIT COST OF A PCARD TRANSACTION WITH ANOTHER DEPARTMENT 4. HIDE COLUMNS

SECTION 1: VERIFY PROCUREMENT CARD TRANSACTIONS Purpose: How to Access: The purpose of this task is to process open procurement card transactions in Workday. Enter Verify Procurement Card Transactions in the Workday Search field, and select the Verify Procurement Card Transactions task. Helpful Hints: You MUST process your open transactions in a timely manner. Transactions should be verified within 5 business days. If you do not have any open procurement card transactions, nothing will display after accessing the task. You cannot delegate this task. A procurement card specialist can verify the transaction on your behalf if necessary. Bentley policy requires receipts for expenses $40 and over. All expenses must be explained by providing a valid business purpose. It is very important to pay attention to the Document Date when choosing transactions to verify, as this is the date that the expenses will be recorded in the general ledger particular attention should be applied at year end to ensure the expense is recorded in the proper fiscal year. 1. Click on the Cloud icon in the upper right corner of your home page, and then click on Notifications. Credit Card Transactions ready to verify message should appear, if you have credit card transactions to be verified. In the Alert Notifications Details screen, click on the box Verify Procurement Card Transactions 2. Or search Verify Procurement Card Transactions in the search bar or select the Purchases worklet and select Verify Procurement Card Transactions Page 1

3. Review the Top Tips at the top of the page. Then select 1 or as many transactions as you want to verify. Pay attention to the Document Date as this is the date the transaction will hit the general ledger and your budget. This requires extra attention at year end to ensure the expense is recorded in the proper year. This is the date the transaction will post to the GL and hit your budget. Pay extra attention at year end!! 4. Click Ok 5. On the Transaction Details tab select the appropriate accounting, verify the transaction by choosing a spend category, adding a business purpose and attaching the receipt if required (see next steps for how to do this). Page 2

6. In the Transactions Details section, you may fill out as much information as possible. It is required that you put a business purpose in the Memo field unless the business purpose is self-evident (i.e. coffee/water supplies from Ready Refresh). Select the appropriate spend category by either 1) typing in a keyword into the Spend Category field and hitting enter to search, or 2) by clicking on the 3 lines within the box to search through the list. Then review the remaining Worktags (cost center required, will default to your home cost center, gift, grant, etc., - if applicable). If you are purchasing items for another cost center, you may select it here and it will route to the appropriate cost center manager. If you charge a business meal or entertainment expense on your Purchasing Card, you must select the Spend Category Business Meal or Entertainment Expenses and either 1) fill in the Memo field with the Names and Titles of Attendees, Number of people and Business topic discussed or 2) indicate Page 3

that same information on the attached receipt. If you decide to include this information on the receipt, please write see receipt in the Memo field to indicate that option. If you charge a an item that will be used as a prize or award at an event, raffle, etc. on your Purchasing Card, you must either fill in the Memo field with the Names and ID # s of the recipient(s), if not yet awarded, the purpose/use of the prize or award. Alternatively, you may indicate that same information on the attached receipt. If you decide to include this information on the receipt, please write see receipt in the Memo field to indicate that option. If the prize has not yet been distributed, you are required to follow up with Financial Operations to report the subsequent winner. 7. Click the Add button under the Attachments section to include any receipts. (Reminder: transactions $40 or more requires a receipt. If you lose your receipt, attach the Workday Missing Receipt Form. 8. Click Submit 9. After you submit the verification it is routed to your cost center manager for approval. ***If you mistakenly charge a personal charge to your Pcard, expect to reimburse the University through the Cashier s Office. You should then select Personal Charges - Pro Card which will reverse the expense in the budget. Please then attach a copy of the receipt showing the reimbursement to Bentley as support.*** Page 4

SECTION 2: VIEW AND EDIT Procurement Card Transaction Verifications Purpose: Helpful Hints: The purpose of this task is to view or edit existing procurement card transaction verifications This task is used to view procurement card transactions you have previously verified and edit if necessary, which sends the Verification back through the approval process. 1. From the Workday home screen click the Purchases worklet. 2. Under View, click Procurement Card Transaction Verifications. 3. To edit a spend authorization that is in progress, hover your mouse next to the magnifying glass and click the box with the three dots that appears. Then hover your mouse over Procurement Card Transaction Verification, then click Edit. Page 5

This will allow you to edit the existing verification, even if it has already been routed to approval. You can only do this if the verification is still in progress. 4. To view without changing, click the magnifying glass on the Verification you want to view. 5. Once in view, if you want to change it, click Actions located at the top of the screen. Next, hover your mouse over Procurement Card Transaction Verification, then click Edit. 6. Make your changes and then click Submit. SECTION 3: Split Cost of a PCard Transaction with another Department Purpose: Helpful Hints: The purpose of this task is to split the cost of specific transactions with another department. This task is used to split the cost of specific transactions with other departments. This is used when two departments want to share the cost of a single purchase (i.e. two departments are splitting the cost of a newspaper subscription). If you purchased an item on behalf of another department and therefore the entire cost of that transaction belongs to that other department, you would not use this feature but instead see Section 1 Step 5. 1. Once in the Verify Procurement Card Transactions screen, click on the transaction that you need to split. Select the proper Spend Category. Remember to attach the receipt for any items $40 or more. 2. Next, scroll all the way to the right until you see the column labeled Splits. Page 6

3. Click on the 0 and the Split by box will appear. Click the drop down arrow and select either Amount (more likely) or Quantity. 4. Click on the 0 and the Split by box will appear. Click the drop down arrow and select either Amount (more likely) or Quantity. 5. On the next screen, put in either the Percent or Amount you want to split. If you put in the percent, the amount will automatically calculate. If you put in the amount, the percent will automatically calculate. Page 7

6. Then, click the button and add the remaining Percent or Amount to total the cost to the full cost of the transaction. 7. You must then fill in a business purpose in the Memo field and also select the Cost Center for each portion of the transaction. You can also enter any other applicable Worktags such as Gift, Grant, etc. The proper Program, Fund and Division will default based on the cost centers selected, so you do not need to change those. 8. Click Done when you are finished with the splits. This will bring you back to the main Transaction Details screen. If you have verified any other transactions in the list and are ready to submit, click the green Submit button. Your transactions will now be routed for approval based on the cost centers selected for each transaction, including the two or more cost centers selected on any split transactions. SECTION 4: Hide Columns Purpose: Helpful Hints: The purpose of this task is to hide unnecessary columns, if desired, during your Pcard transactions verification to streamline your view. This task is used to minimize the columns you are viewing during your transaction verifications. This is not required but rather based on preference. Any changed you make to hide columns exist for all transactions in that particular verification report, but this setting does not carry forward for additional verification reports. You would need to do this task each time. 1. Locate the Grid Icon in the top right corner of the Transaction Details screen. Click on the icon. This will show you all available columns. Uncheck the box for each column you want Page 8

to hide. Be sure to prevent hiding the columns that are always required/necessary: Item and Category, Transaction Amount, Memo, Cost Center and Additional Worktags. Other columns may be applicable to your specific transactions (i.e. Gift, Grant, Orgs & Activities, Split) so be sure to only hide the columns you do not need. 2. Once you ve unchecked the boxes for the columns you don t need, click Apply. This change will apply to all transactions in the verification. However, these changes will not carry forward to future verifications so you will have to make these changes each time, if you choose. Page 9