AR PENCOM Training Manual
AR PENCOM Training Manual
AR PENCOM Training Manual
(PENCOM)
USER TRAINING MANUAL ACCOUNTS RECEIVABLE
Soft Alliance
And Resources Limited
Author: Creation Date: Last Updated: Control Number: Version: Ogwuche Oche Simon April 16, 2012 April 16, 2012 1.0 1.0
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Date
Author
Version 1.0
Reviewers
Name
Position
Distribution
Copy No. 1 2 3 4
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Open Receivables Periods ............................................................................................................................. 4 Create a Customer ........................................................................................................................................ 5 Create a Profile Class.................................................................................................................................... 8 Add Account Details Using the Customers set of pages ............................................................................. 10 Create an Invoice ........................................................................................................................................ 13 Enter a Manual Invoice ............................................................................................................................... 15 Enter a manual receipt................................................................................................................................ 16 Enter a Manual Receipt Batch .................................................................................................................... 17 Enter a Miscellaneous Receipt .................................................................................................................... 21 Reverse a Receipt ........................................................................................................................................ 23 Reverse and Re-Apply a Receipt ................................................................................................................. 24 Print Receipt Related Reports ..................................................................................................................... 25 Transfer to GL process ................................................................................................................................ 28
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Abbreviation
(B)
Meaning
Click on button
Example
(B) Submit:
(T)
Click on a tab
(M)
Click on a menu
(N)
Navigate to a form
(I)
Click on an icon
(I)
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2. Accounting Periods: Search for the desired period to be opened (e.g Jan-11) -Status: Open/Future LOV 3. Make sure that the current period is open and at least the next two are future enterable. 4. (I) Save
1. Navigate to the Customer Search page. (N) Customers > Customers > Customer Search
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2. Search for the customer to be created (e.g. Premium Pension Limited) 3. If the customer does not exist, click (B) Create. 4. Enter the following data: N.B: Any field with * in front is a mandatory field and must be entered
Enter the similar Customer information to create the new Organization customer:
Field Name *Organization Name Alias Account Description Profile Class Account Type Value Premium Pension Limited ppl Premium Pension Limited PFA Select Associated profile class External
Enter the following Account site information to create the new Organization customer:
Field Name Value
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Primary Box)
Business Purposes
5. Click (B) Save And Add Details to go to the Account Overview page. Alternatively, click (B) Apply to go to the Customer Overview page.
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6. Click Apply on the Account Overview page (or on the Customer Overview page if you clicked (B) Apply in Step 5) to save the customer and return to the Customer search page. 7. Repeat these steps 1 through 5 to create other customers.
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Customer Profile Classes: Name = Type a suitable name Description = Type a suitable description 2. (T) Profile Class 3. Verify the following information in the Balance Forward Billing region. Enable = Unchecked 4. Specify the following information in the Terms region. Payment Terms = Immediate or 30 Net Override Terms = Checked Allow Discount = Unchecked 5. Specify the following information in the Collectors region Name = Default Collector 6. Specify the following information in the Statements and Dunning region Cycle = Monthly (25th day of every month) 7. Specify the following information in the Receipts region Match Receipts By = Transaction Number Auto Cash Rule Set = PENCOM_AUTOCASH_RULE_SET Remainder Rule Set = PENCOM_AUTOCASH_RULE_SET 8. Save your work. Do not update existing profiles.
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1. Add a new site to the customers account (B) Create Site. 2. (B) Create Address Update the following field to add a new account site to the customers account:
Field Name Address Line 1 City State Value e.g 200 Uselu Road Benin Edo
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6. (T) Profile, Update the profile related details for the selected customers account. Use the following data to update the account profile:
Field Name Profile Class Value Select an existing profile LOV
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Payment Terms
30 Net
Create an Invoice
Overview In this section you will create a receivables invoice. 1. Navigate to the Transactions window (N) Transactions > Transactions Source: Asset Based Fees Class: Invoice Type: Select Transaction Type from LOV
Line Number 1
Quantity 10
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4. (I) Save Close all windows until you get to Transaction Window. (B)Complete 5. Note Transaction Number: ____________________________________
Note: When you tab out of the Ship To field, Bill To address select the customer from the LOV. 2. 4. (T) More (I) Save
Enter Line Items 5. 7. 8. 9. (B) Line Items (I) Save Close the Lines window (B) Complete
10. Record your Transaction Number: ________________ 11. Close all windows and return to the Navigator
Note: An invoice may only be completed if the period status is set to Open or Future.
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2. 3.
Enter a Manual Receipt Batch Enter the Manual Receipt Batch Header
1. Navigate to the Receipts window: (N) Receipts > Batches Batch Type = Manual-Regular Batch Source= Select Appropriate bank LOV. Note: The control count equals the total No. of receipts to be created in the batch, while the control amount should be equal to the totals of all receipts in that batch. Control Count = Number of Invoices to be created ( e.g 2) Control Amount = 12200
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(B) Receipts
3.
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4.
(I) Save
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8. 9.
(I) Save Close windows until you are at the Receipt Batches window
Note: The Actual totals equal the Control totals, both receipts are applied, and the batch status is closed 11. Close all windows and return to the Navigator
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Process the Misc. Receipt 1. Navigate to the Receipts window: (N) Receipts > Receipts Receipt Method = Select type LOV. Receipt Number = Type Receipt No. Receipt Amount = 1,500 Receipt Type = Miscellaneous Note: A caution message pops up. (B)Ok
2.
3.
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3.
(I) Save
View Distribution Information 2. (B) Distributions 3. GL Account =Type GL account ( e.g. 01-000-040-0430-150057-000-000)
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4. 7.
(M) View > Find Batch Number = your batch number from the quickCash Receipt Batch LOV. (B) Find (B) Receipts Click in the Receipt Number field for Receipt Number from receipt batch section.
6.
Reason = Reverse reason LOV 7. 8. (B) Reverse (B) Open Note: the status is now reversed
9.
(T) More
11. Note the reversal information for this receipt has been recorded 12. Close all windows and return to the Navigator
Receipt Numbers = Type receipt No. Reverse your receipt 3. (B) Reverse Category = Reverse Payment Reason = Wrong Customer (B) Reverse
4.
Reapply your receipt 5. 6. (M) File > New (B) Open Receipt Method = Select bank name LOV Receipt Number = Type receipt number Receipt Amount = Type receipt amount Receipt Type = Standard Customer Name = Type customers name. (B) Apply Apply To = Select the invoice to re-apply the invoice. Amount Applied = Type the amount to apply. (I) Save Close all windows and return to the Navigator
7.
8. 9.
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2.
(B) OK to submit a single request Name = Receipt Register Customer Name Low = Name of Customer at top of range(Optional) Customer Name High = Name of Customer at bottom of range (Optional)
3 4.
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Note: Do not submit another request 6. 7. (M) View > Requests (B) Find
(B) Refresh Data 8. When the request is complete, (B) view the output.
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9.
10. Repeat the above steps to print any of the following reports that you would like to see: Applied Receipts Register Unapplied and Unresolved Receipts Register Billing and Receipt History Report
2.
Note: This request generates the accounts to be posted for all completed invoices/ receipts, checks their correctness and transfers to the GL Module for adoption into the various books.
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(B)Tab Parameters: Ledger = PENCOM 2 End date = Insert date in format DD-MM-YY Mode = Final Report = Change to Detail LOV ( for a detailed report ) Transfer to General Ledger = Yes Post in General Ledger = No ( So that GL can review before posting ) General Ledger Batch Name = Type a descriptive name.
Note: The name typed here is what the GL will see when then Invoices appear in the GL modules.
3.
(B) Ok
4. (B) Submit Note: Do not submit another request 5. (M) View > Requests 7. (B) Find
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(B) Refresh Data 8. When the request is complete, (B) view the output.
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9.
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