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Accounts Payable PDF
Accounts Payable PDF
3
Introduction
This user guide assumes familiarity with navigating within Oracle Financials, either gained
through attendance on the Introduction to FIS course, or through having read the
Introduction to FIS (Navigation) document. In addition, appendices are included at the
end of this guide to provide assistance in getting help and using the toolbar and keyboard
shortcuts.
4
Matching Invoices to Purchase Orders
Basic procedure for matching an Invoice to a Purchase
Order
• Log into Oracle Financials and click on your AP responsibility.
• When you first open the Invoice Batches window, it will look like this:
Click on this
button to open
a customised
folder.
5
It is possible to customise the layout of this form by selecting Folder > Open from the
menu, or you can choose a pre-customised folder by clicking on the Open Folder icon.
• Choose the folder you wish to use, ie UCL BATCH HEADER, by double-clicking on it,
or by selecting and clicking [OK].
The layout of this window has been designed to be easier to use; the main advantage
being that you do not need to scroll across the screen to see the relevant fields.
• To set this folder to open automatically when you enter the Invoice window, open the
relevant folder and select Folder > Save As… from the menu.
• Click in the checkbox to select Open as Default and then click on [OK].
6
• Enter Batch Number – ie Departmental Prefix (in capital letters eg EE or CE)
followed by the next batch sequence number.
To find out the last number used, click on the Find icon and enter a date range
within the last few working days. This will list the invoices for your department.
Select View > Record > Last to go to the last batch number in the sequence.
• The Batch Date will automatically be filled in as the date of entry and you will not be
able to change this.
• If all of the invoices you are entering in this batch are of the same type, eg PO
Default, select this type from the dropdown list in the Invoice Type field.
• Click on [Invoices].
The first time you open this window, it will look like this:
Click on this
button to open
a customised
folder
• To open a customised folder, such as PINV for Standard Invoice Entry or Purchase
Order Match, click on the Open Folder button . These folders have been
designed to be easier to use than the standard folder.
7
• Select the relevant folder by double-clicking on it or by selecting it and clicking on
[OK].
The name of
the folder will
be displayed
here – click on
the Open
Folder button
to change it.
Again, the layout of this window has been designed to be easier to use so that you do not
need to scroll across the screen to see the relevant fields.
• If you would prefer one of these folders to open automatically when you enter the
Invoice window, open the relevant folder and select Folder > Save As… from the
menu. Click in the checkbox to select Open as Default.
8
• Click on [OK].
• Ensure that the Invoice Type is set to PO Default; if it is not, enter PO Default or
choose it from the List of Values . Press the tab key or click in the Supplier field.
A window will appear at the top of your screen to prompt you to type in the Purchase
Order number:
Notice that the details of the Supplier’s name, number and site will be entered from
the details of the Purchase Order.
• Type in the date of the invoice, or open the List of Values and choose the correct
date from the Calendar.
NB: This number must be unique to a supplier – you will not be permitted to enter
the same number for two different invoices. This field is also case-sensitive.
Use upper case letters as much as possible.
• If you need to specify payment terms – for instance, if the invoice must be paid
immediately or must be paid a specific number of days after the invoice date – scroll
across to the Terms field and select the applicable option from the List of Values .
Please inform the Accounts Payable section if the required terms are not available.
The default payment term is Net30 and invoices are paid at least 14 days before the
due date.
• Click on the [Match] button towards the bottom right of the window. Make sure that
the button to the right of the [Match] button reads “Purchase Order”. If not, click on
this button and select Purchase Order from the drop-down list.
9
• Confirm that the correct Purchase Order number is entered and click on the [Find]
button.
• Select the line(s) to which you wish to match by selecting the Match checkbox(es) to
the left of the window. Please note that this checkbox is unmarked.
• Enter the details as they are on the invoice. If the price on the invoice is different from
the price on the Purchase Order, enter the correct amount in the Unit Price field, and
if the quantity invoiced is different from the quantity requested in the Purchase Order,
ensure the correct number is entered.
• To view the Purchase Order, click on the [View PO] button at the bottom of the
window.
10
NB: Check that the VAT code on the Purchase Order is the same as that on the
Invoice. If this rate is incorrect you will have only one opportunity to correct it
in the Invoice Distributions, prior to 1st level approving the invoice. Please see
the instructions (Correcting the VAT after matching to a Purchase Order)
below if this is necessary.
• The window will close and return you to the Invoice header.
• Click on the Distributions button and check the lines and VAT codes which have
defaulted in from the Purchase Order.
To correct the VAT rate, in 11i you can now overwrite the VAT code on the
distribution line but only BEFORE generating the tax line, using the [Calculate
Tax] button or Tools > View and Update Tax Summary. Once you have generated
the tax line, you will need to reverse the distribution lines and manually input new
ones. Please see the following section: ‘Correcting the tax code after matching to
a Purchase Order’.
If the Account Code is incorrect it is not possible simply to overwrite it, please see the
following section: ‘Correcting an account code after matching to a Purchase
Order’.
• Once you have checked/amended the VAT code and are ready to proceed, you
should generate the VAT lines by clicking on [Calculate Tax] or by selecting Tools >
View and Update Tax Summary. The VAT lines will now appear.
Note that the VAT recoverability status set up for each account code determines
which code will be used in the VAT distribution line. VAT on non-recoverable account
code transactions will be coded to the same code as the transaction and VAT on
recoverable account code transactions will be coded to QB62.
• Check that the distributions total is the same as the invoice total and that all
distributions codes are correct.
• If all is correct, close the Distributions window by clicking on the X in the top right-
hand corner of the window, or by pressing Alt + F4. If the VAT or account code lines
are incorrect please follow the separate guidance directly below (‘Changing the VAT
code after matching an invoice to a Purchase Order’, and ‘Correcting the account
code of an invoice matched to a Purchase Order’).
• Repeat the above steps with any other Invoices within the batch.
• Approve the batch/invoice(s) by clicking on the [Validate] button. This can be done
either at Invoice or Header level (see chapter below).
11
Changing the VAT code after matching an Invoice to a Purchase
Order
• If the wrong VAT rate has defaulted through from the Purchase Order, 11i now allows
you to overwrite the VAT rate but only BEFORE you generate the tax line. Over-
write the tax code and then click on [Calculate Tax].
• If the wrong VAT rate has defaulted through from the Purchase Order but you have
generated the tax line before realizing this, if you now try to change the code the
system will appear initially to accept the over-written tax rate and will allow it to be
saved. However, when the invoice or batch is approved, the system will ignore the
overwritten tax rate and replace it with the original PO distribution tax rate.
• To correct the situation above you will need to reverse both the incorrectly VAT
coded Item line and (if standard rated) the generated VAT line. You will then need to
re-enter the line again using the correct VAT rate. The screen below shows the
correct entries:
• Stage 1: Reversing the incorrect lines: Hold down the Ctrl key and click on both
the Net (item line) and the VAT line, then press [Reverse 2]. The number on the
Reverse button will change according to the number of lines selected for reversing.
12
• Stage 2: Insert a new line with the correct VAT code (see line 5 below):
• Check that the Distribution Total equals the Invoice Total as above. You can then
proceed to approve this invoice as instructed above.
13
Changing the Account code of an Invoice matched to a Purchase
Order
1. If an account code you used in the Purchase Order distribution lines is incorrect
for some reason you cannot simply overwrite it in Accounts Payable. Using the
same method as above you must reverse the line and re-enter it with the correct
account code. You must remember also to reverse any associated VAT line as
VAT will be generated again on the new line.
Note that reversing PO distributions reverses the PO match to the invoice - it re-opens
the PO line(s) and updates the quantity billed. If the PO is no longer required you will
need to manually close the PO lines using your PO buyer responsibility.
2. When all account codes are correct and the line distributions total is the same as
the invoice total then you can click on [Calculate Tax] and then validate (approve)
the invoice as normal.
14
Matching an Invoice to Multiple Orders
• In the Navigator Window, expand Invoices and Entry by double-clicking on them or
pressing the Return key after selecting them.
If the folder displayed is not the pre-customised UCL Batch Header folder, choose this
folder by clicking on the yellow Open folder Button and selecting it from the list.
• Then press the Return key or click on the [Invoices] button at the bottom right of the
window.
• Match the first PO to the invoice by following the basic procedure for ‘Matching
Invoices to Purchase Orders’ above.
• Open the Invoices window and select the invoice that you wish to match against.
Please note that the supplier details will have been entered during the first Invoice
match to PO process :
15
• Click on the [Match] button at the bottom right of the page. The dropdown list next to
the Match button should indicate Purchase Order. If not, click on the dropdown
button and select Purchase Order from the list.
The Find Purchase Orders for Matching window will now appear.
• Click on [Find].
16
Select the line(s) you wish to match to, by selecting the checkbox(es) to the lefthand side
of the form.
• Confirm the details as they are on the invoice. If the unit price on the invoice is
different from the price on the purchase order, enter the correct amount in the Unit
Price Field.
• If the quantity invoiced is different from the quantity requested on the purchase order,
ensure the correct number is entered in the Quantity Invoiced field.
The name of the PO buyer, ship-to location, and quantity billed (invoiced) will be
displayed in the Shipment section of the window.
If the quantity ordered is the same as the quantity billed the following warning will appear
on the screen if you attempt to match the PO against further invoice quantities. Please
check before you continue.
To view the Purchase Order, click on the [View PO] button at the bottom of the window.
• When all details are entered correctly, click the [Match] button at the bottom right of
the window.
• The window will now appear to have been disabled - ie all of the buttons will be grey
and inactive.
• Repeat these steps for all of the POs you wish to match to the invoice.
17
Matching a Purchase Order to Multiple Invoices
Log into Oracle Financials. Match the PO to the first Invoice by following the basic
procedure for matching an invoice to a Purchase Order.
• Select a new line on the Invoices window and choose the PO Default type.
• Enter the purchase order number that had been previously matched in the PO
Number field of the PO Number window.
• Click on [Match].
Select the line(s) you wish to match to, by selecting the checkbox(es) on the lefthand side
of the form.
• On the Match to PO window select the lines, which match the invoice, by clicking the
checkboxes to the extreme left of the scroll bar.
• Input the details as they are on the invoice. If the unit price on the invoice is different
from the price on the purchase order, enter the correct amount in the Unit Price Field.
18
• With multiple invoices the quantity requested on the purchase order and the quantity
billed for are often different. Ensure the correct number is entered in the Quantity
Invoiced field.
• Notice that additional information is available in the Shipment Quantity section of the
Match to PO window. The quantity ordered, received and the total invoiced to date
will be displayed in this section.
• When all details are entered correctly, click on the [Match] button at the bottom right
of the window. The window will now appear to be disabled- i.e. all the buttons will be
grey and inactive.
• Click on [Distributions], and ensure that the distributions and VAT codes entered are
correct. If they are not you must reverse the Item line by selecting it with the mouse
and clicking on the [Reverse 1] button, then re-entering the item line with the correct
VAT code
• Check that the VAT calculated agrees with the invoice. If there is a rounding
difference please follow the procedure on page 32 (‘How to create VAT rounding
differences on supplier invoices’)
• Repeat these steps for subsequent invoices relating to this Purchase Order. Notice
that you can match as many invoices as you want to the same PO.
• When all orders on the shipment have been invoiced for, select the Final Match on
the relevant shipment lines, and this will finally close the Purchase Order shipment
line.
19
Final Matching Invoices to Purchase Orders
You can final match an invoice to a Purchase Order when you are sure that no further
invoices will be matched to the PO. A final match is not reversible once the invoice has
been approved. Final matching ensures that the Purchase Order lines are closed and the
outstanding commitments are reversed. Where all PO lines are final matched the system
will close the Purchase Order.
To final match, follow the basic procedure for Matching an Invoice to a Purchase Order.
• On the Match to PO window, select and update the lines you wish to match and then
click the Final Match tick box shown below.
• To close the purchase order completely, please ensure that you have ticked the Final
Match checkbox for all the purchase order lines. When you click on the [Match]
button, the system will warn you that you cannot undo a final match and asks you to
confirm this action. Select [Yes] if you wish to proceed with a Final Match against this
purchase order.
• Click on [Match] again; this will take you back to the Invoice Header. Continue
processing your invoice as usual using the basic invoice match to purchase order
procedure.
20
Important Points to note about Final Matching
Please check that you have matched the invoice against the correct PO before
validating the invoice.
The final match process can be cancelled before approval using the [Actions…1]
button and selecting [Cancel] and then clicking on [OK].
2. To correct a final match error after invoice approval but before payment, please
follow the steps outlined below:
21
• Refresh Invoices window
• Change Invoice Amount to zero (£0.00)
• Save
The above will ensure that the invoice is not paid and that the distributions are
reversed. Please note that if you need to re-enter the invoice and it is for a different
supplier to the one you have just cancelled, then you cannot use the same invoice
number. You should enter the replacement invoice number as the original number
suffixed with ‘REENTRY’, e.g. invoice number 15657 becomes 15657REENTRY.
Unfortunately, the Purchase Order lines that were final matched will remain closed
and will not be available for matching against future invoices.
3. Unmatched Purchase Order lines should be final closed using your PO buyer or
Approver responsibility to ensure that all outstanding commitments are reversed.
4. If an attempt is made to match an invoice against a final matched Purchase Order the
following message will appear on the Match to Purchase Order window :
The system will not allow you to continue and you will need to investigate before you
continue processing your invoice.
5. Please ensure that you run the Invoice on Hold report regularly, ie once a week, to
ensure that held invoices are identified quickly.
22
Standard Invoice Entry
• In the Navigator Window, expand Invoices and Entry by double-clicking on them or
by selecting them and clicking on [Open].
When you first open the Invoice Batches window, it will look like this:
Click on this
button to open
a customised
folder.
It is possible to customise the layout of this form by using selecting Folder > Open from
the menu, or you can choose a pre-customised folder by clicking on the Open Folder
icon.
23
• Choose the folder you wish to use, ie UCL BATCH HEADER, by double-clicking on it,
or by selecting and clicking [OK].
Notice that the layout of this window is slightly different as it has been designed to be
easier to use. The main advantage of using the customised folder is that you can see
more of the relevant fields and do not need to scroll across to find them.
• If you would prefer one of these folders to open automatically when you enter the
Invoice window, open the relevant folder and choose Folder > Save As… from the
menu. Click in the checkbox to select Open as Default.
• Enter Batch Number – i.e. Department Prefix (in capital letters) followed by batch
sequence number. To find out the last number used, choose Find All from the Query
24
menu. This will list all of the Invoice Batches for your department. The Batch Date
will automatically be filled in as the date of entry and you will not be able to change
this.
• Click on [Invoices] in the bottom right corner (or press Enter/Return on the keyboard).
The first time you open this window, it will look like this:
Click on this
button to
open a
customised
folder
• To open a customised folder, such as PINV for Standard Invoice Entry or IDT for
Intra-Departmental Transfers, click on the Open Folder button. These folders have
been designed to be easier to use than the standard folder.
25
The name of
the folder will
be displayed
here – click on
the Open
Folder button
to change it.
Notice that the layout of this window is slightly different as it has been designed to be
easier to use. The main advantage of using the customised folder is that you can see
more of the relevant fields and do not need to scroll across to find them.
• If you would prefer one of these folders to open automatically when you enter the
Invoice window, open the relevant folder and choose Folder > Save As… from the
menu. Click in the checkbox to select Open as Default.
• Click on [OK].
• Type in the beginning letters of the Supplier name and press the tab key to open a
list of matching supplier names. Choose the required Supplier from the List of Values
provided. The Supplier Number will automatically be entered.
• Alternatively, type in the beginning of the Supplier Number followed by tab, and
choose the correct supplier from the list of possibilities – if there is only one possible
choice all of the details will be filled in for you.
• If the Supplier has more than one site, open the list of values by pressing or Ctrl
and L, then choose the correct site from the list that matches the invoice payment
address. If the supplier only has one possible site, the details will be automatically
entered.
26
• Type in the date of the invoice, or open the List of Values and choose the correct
date from the Calendar.
• Type in the Invoice Number as quoted on the Invoice. This number must be unique
per supplier – you will not be permitted to enter the same number for two different
invoices.
• If you need to specify payment terms – for instance, if the invoice must be paid
immediately or must be paid a specific number of days after the invoice date – scroll
across and select the correct details from the List of Values in the Terms field.
• Click on the [Distributions] button to complete the distribution details for the invoice.
The first time you open this window, it will look like this:
27
• To open the pre-customised AP Distribution folder, select Open Folder in the
Action menu and choose it from the list.
Notice that the layout of this folder is slightly different and is easier to use. Follow the
procedures outlined above in order to make this folder open by default.
The distributions you enter for an invoice allocate the total invoice amount to various
expense or asset accounts. For example, you distribute the goods to a different account
code to the postage and packing. Payables use distributions to create general ledger
journal entries for invoices.
• If the distributions are chargeable against General Ledger codes, navigate to the
Account field, type in the Account code and press Tab. This will generate the
Accounting Flexfield window with the Source, Option, Unit and Company values
defaulted into the relevant fields. Enter the Analysis code or click on or use Ctrl
and L to select from the List of Values.
• Click on the [OK] button, and then tab to the Amount field.
28
• If the distribution is chargeable to a Grant code, tab over the Account field to the
Grant field. Enter the Grant/Project code, Task, Award and Type for the
expenditure, either by typing it in or by selecting it from the List of values .
• The Org. and Exp Date fields will default in once the other fields are complete. You
may change the expenditure item date to a date on or before the completion date of
the grant if the invoice is being entered on the system after the completion date of the
grant.
Details of the Account you have selected will appear in the Account Description field in
the lower section of the Distributions window.
• In the VAT field, type in the correct VAT Code, or choose it from the List of Values .
If unsure which code is applicable, check the VAT rate on the Invoice and determine
the correct code from that. If you do not specify a VAT code, it will automatically
assume it is Standard Rated. Please ensure that the VAT Code matches the VAT
charged by the Supplier on the invoice.
• Repeat this process for all of the distribution lines for the invoice.
• Save the record by clicking on the button on the Toolbar (or pressing Ctrl and S).
• To check that the tax that will be generated by the system is correct, select View &
Update Tax Summary before you proceed. This will show you the tax amount that
will be calculated by the system and the rate at which this calculation has been made.
If this is correct, click on [OK].
• The system will automatically calculate the VAT amount, using the VAT code entered
for each distribution line. The account code charged is based on the VAT status of the
expense account code combination. Recoverable VAT will be charged to QB62 2VA
and non-recoverable VAT will be charged to the distribution expense account. Please
ensure that VAT is generated automatically. Please do not attempt to enter the VAT
distribution manually or change the VAT code of the automatically generated
distribution.
• Check that the VAT calculated agrees with the invoice. If the VAT amount calculated
by the system is different from the invoiced VAT amount by plus or minus £0.01 this is
because the supplier has used a different VAT rounding formula.
• Close the Distributions window by clicking on the X in the top right-hand corner of
the window, or by pressing Alt and F4 together.
• Repeat the above steps with any other Invoices within the batch, ensuring that the
distribution details are completed for each individual invoice.
29
Expense Claim Input
• In the Navigator Window, expand Invoices and Entry by double-clicking on them or
by selecting them and clicking on [Open].
• If the folder displayed is not the pre-customised UCL Batch Header folder, choose
this folder by clicking on the Open Folder button and selecting it from the list.
• The batch will use the default invoice type ‘Standard’. Please do not change this
(Users should note that the ‘Expense Report’ invoice type should not be used in FIS
as it does not function correctly).
Leave
‘Standard’
as the
default. Do
not change.
• Click on [Invoices].
• Select the PPAN folder instead of PINV. You will notice that the folder is laid out
slightly differently and some of the column headings are different.
30
• Type in the document number (Doc. No.) as displayed on the Expense Claim Form.
• Ensure that the Type for each claim form is set to ‘Standard’. If you are creating an
expense claim in a batch of other transactions please make sure that you change the
transaction type to ‘Standard’ for all expense claims. Please DO NOT use ‘Expense
Report’ as the transaction type as it does not work.
• Enter the claimant’s name in the Payee Name field, or select their name from the List
of Values . The Employee Number and Site will automatically be generated.
Note: if the employee is based at more than one site, a List of Values will
automatically appear to prompt you to choose the correct site.
• Enter the Invoice Date field or press the tab key to enter the date of entry.
• Enter the Invoice Amount total as per the Expense Claim Form.
• If the claim is for one item, or several items of the same type, it is possible to enter the
details in the Description field and this field will then be automatically entered in the
Distributions section. If there are various items on the claim form, leave this field
blank and enter the details in the Distributions window.
31
• If the folder displayed is not the pre-customised AP Distributions folder, choose this
folder by clicking on the Open Folder button and selecting it from the list.
• The Description field will be filled in if it has been specified in the Invoices form
above; if not, enter a description.
• If the distributions are chargeable against General Ledger codes, navigate to the
Account field, type in the Account code and press Tab. This will generate the
Accounting Flexfield window with the Source, Option, Unit and Company values
defaulted into the relevant fields. Enter the Analysis code, or click on or use Ctrl
and L to select from the List of Values.
• Click on the [OK] button, and then tab to the Amount field.
• If you do not know the Account code, click into the Account field and open the List of
Values by clicking on ; the description is given as well as the Account code.
Choose the correct Account from the list either by double-clicking on it or by selecting
32
it and pressing on the [OK] button. The Source, Optional, Unit and Company fields
will automatically be filled in.
List of
Values
button
• Enter the correct Analysis code and click on the [OK] button.
• Tab to the Amount field, enter the amount excluding VAT and click [OK].
• If the distribution is chargeable to a Grant code, tab over the Account field to the
Grant field. Enter the Grant/Project code, Task, Award and Type for the
expenditure, either by typing it in or by selecting it from the List of Values . The Org
and Exp Date fields will default in once the other fields are complete.
• All PPAN expenses will default with VAT code N for non-identifiable VAT. This may
be changed if other VAT codes are applicable by selecting from the List of Values .
• Repeat this for all of the distribution lines for this claim.
• Save your work by clicking on the button on the Toolbar or by pressing Ctrl and
S.
• If there are distributions with identifiable VAT costs, then VAT should be generated.
• The system will automatically calculate the VAT amount, using the VAT code entered
for each distribution line. The account code charged is based on the VAT status of the
expense account code combination. Recoverable VAT will be charged to a QB62 2VA
account and non-recoverable VAT will be charged to the distribution expense
account.
• Click on the [Calculate Tax] button the system will create a VAT line.
33
• Check that the VAT calculated agrees with the invoice. If there is a VAT rounding
difference of £0.01 please follow the procedure on page 31.
• Close the Distributions window by clicking on the X in the top right-hand corner of
the window, or by pressing Alt and F4 together.
• Follow the procedures detailed later for First Level Invoice Approval in order to
validate (approve) the Expense Claim.
34
Intra-Departmental Transfers
• In the Navigator Window, expand Invoices and Entry by double-clicking on them or
by selecting them and clicking on [Open].
• If the folder displayed is not the pre-customised UCL Batch Header folder, choose
this folder by clicking on the Open Folder icon and selecting it from the list.
• If all of the invoices you are entering in this batch are Intra-Departmental Transfers,
select Mixed from the dropdown list in the Invoice Type field.
• Select the IDT folder instead of PINV. You will notice that the folder is laid out slightly
differently and some of the column headings are different.
35
• Enter the Document No.
• If the Type is not set as Mixed, either type it in or select it from the List of Values .
• Type in UCL in either the Supplier Number or Supplier Name fields and press the
Tab key. Choose the correct department from the list that appears.
• The Site field will automatically be filled in unless there is more than one possible site.
If this is the case, choose the correct site from the list that will appear.
• If the claim is for one item, or several items of the same type, it is possible to enter the
details in the Description field and this field will then be automatically entered in the
Distributions section. If there are various different items on the IDT, leave this field
blank and enter the details in the Distributions window.
• If the folder displayed is not the pre-customised AP Distributions folder, choose this
folder by clicking on the Open Folder button and selecting it from the list.
• The Description field will be filled in if it has been specified in the Invoices form
above; if not, enter a description.
• Enter the Account code in the Account field and select Tab. The Source, Optional,
Unit and Company fields will be filled in automatically. Enter the correct Analysis
code in the Analysis field, or select from the List of Values .
36
• If you do not know the Account code, click into the Account field and open the List of
Values ; description is given as well as the Account code. Choose the correct
Account from the list either by double-clicking on it or by selecting it and pressing on
the [OK] button. The Source field will automatically be filled in.
• Click in the Analysis field and enter the Analysis code, or choose the correct Analysis
code from the List of Values .
List of
Values
button
• Click on the [OK] button, and then tab to the amount field.
• If the distribution is chargeable to a Grant code, tab over the Account field to the
Grant field. Enter the Grant code, Task, Award and Type for the expenditure, either
by typing it in or by selecting it from the List of Values . The Org. and Exp Date
fields will default in once the other fields are complete.
• Fill in the next line with the Description and the Account which is to be credited. This
figure must be preceded by a minus (-) sign.
• Ensure that the applicable VAT code is N. This may be changed if other VAT codes
are applicable by selecting from the list of Values .
• When all of the lines have been completed, save your work by clicking on the icon
on the Toolbar or by pressing Ctrl and S.
• Follow the procedures detailed below under First Level Invoice Approval in order to
validate (approve) the IDT.
37
Credit Note Entry
Basic Credit Note Entry
• In the Navigator Window, expand Invoices and Entry by double-clicking on them or
by selecting them and clicking on [Open].
• If the folder displayed is not the pre-customised UCL Batch Header folder, choose
this folder by clicking on the Open Folder button and selecting it from the list.
• If all of the invoices you are entering in this batch are Credit Notes, select Credit
Memo from the dropdown list in the Invoice Type field.
You will receive a Note warning you that Payables defaults the payment terms from
the supplier site to the invoice, and that you may wish to change the payment terms to
be set at immediate payment.
• Click on [OK].
38
• Select the PCRN folder for Credit Note Entries. You will notice that this folder is laid
out slightly differently to the standard folder and some of the column headings are
different.
• If the Type is not set as Credit Memo, either type it in or select it from the List of
Values . Please note that it is the first credit memo type in the list and not one of the
others:
• Enter the Supplier Name or Supplier Number (the other will be generated
automatically), by typing in the beginning of the supplier name/number, press the tab
key and choose the required Supplier from the List of Values provided.
39
• Click on [OK]
Note: The error message above informs you that the system will default the payment
terms held for the supplier. Change the payment terms (Terms) to Net0 – this
will ensure that the credit is deducted from any outstanding amounts
awaiting payment to that supplier.
• If the Supplier has more than one site, choose the correct site from the list that will
appear.
• Enter the date of the credit note in the Invoice Date field or press tab to enter today’s
date, and then enter the Credit Note Number in the Invoice Number field.
• Type in the Amount of the credit note – this figure must be preceded by a minus sign;
an error message will appear if the minus sign is forgotten.
• If the folder displayed is not the pre-customised AP Distributions folder, choose this
folder by clicking on the Open Folder button and selecting it from the list.
• The Description field will be filled in if it has been specified in the invoice form above.
If not, enter a description.
40
• If the distribution is chargeable to a General Ledger code, navigate to the Account
field, enter the Account code (if known) and press the Tab key. This will generate the
Accounting Flexfield window; the Source, Optional, Unit and Company fields will
be filled in automatically.
• If you do not know the Account code, open the List of Values in the Account field.
Choose the correct Account from the list either by double-clicking on it or by selecting
it and clicking [OK]. the Source, Optional, Unit and Company fields will be filled in
automatically.
List of
Values
button
• In the Analysis field enter or choose the correct Analysis Code from the List of
Values .
• Click [OK].
• If the distribution is chargeable to a Grant code, tab over the Account field to the
Grant field. Enter the Grant code, Task, Award and Type for the expenditure, either
by typing it in or by selecting it from the List of Values . The Org. and Exp Date
fields will default in once the other fields are complete.
41
• Tab to the Amount field, and enter the net amount to be credited. This figure must
be preceded by a minus (-) sign.
• Enter the VAT code in the VAT field. If you are unsure which code to input then
choose from the List of Values .
• When all lines have been completed, save work by clicking on the icon on the
toolbar or by pressing Ctrl and S.
• The system will automatically calculate the VAT amount, using the VAT code entered
for each distribution line. The account code charged is based on the VAT status of the
expense account code combination. Recoverable VAT will be charged to a QB62 2VA
account and non-recoverable VAT will be charged to the distribution expense
account.
• Check that the VAT calculated agrees with the invoice. If there is a rounding
difference of £0.01 between the system calculated amount and the supplier credit
memo VAT please follow the procedure on page 31 to correct it.
• Close the Distributions window by clicking on the in the top right-hand corner of
the window, or by pressing Alt and F4 together.
• Repeat the above steps with any other credit notes in the batch.
42
Matching Credit Notes to Existing Invoices
Usually the credit note will relate to a previously submitted invoice. If this is the case you
can match it to the existing invoice and copy the invoice distributions from the original
invoice, to the credit note.
• Enter the credit note details on the Invoices window as described in the section on
Basic Credit Note Entry.
• Click on the [Match] button and the Find Invoices to Match window will appear.
• Click on [Find].
• Select the invoice by clicking the unmarked checkbox at the far left of the window.
If you wish to view more information about the original invoice, then click on [Invoice
Overview].
There are two ways by which you can match the existing invoice distributions to the
Credit Note. You can either prorate the credit amount across all the original invoice
distributions or match the credit amount against specific distributions.
43
Prorate Credit Amount to All Invoice Distributions
The prorate method will credit all the accounts of the original invoice including the VAT
distributions, based on the invoice distribution amounts of the original invoice.
To prorate credit amount against the original invoice, enter the credit amount including
VAT in the Credit Amount field of the Match to Invoice Distribution window. This figure
must be preceded by a minus sign; an error message will appear if the minus sign is
forgotten.
• Click on the [Match] button. A note will appear to tell you that it is about to start to
match to the invoice:
• Click on [OK]. Close the Match to Invoices window to return to the Invoices window.
• On the Match to Invoice distribution window, enter the amount of the credit excluding
VAT in the Credit Amount field. This figure must be preceded by a minus sign: an
error message will appear if the minus sign is forgotten. However if you choose to
enter the credit amount inclusive of VAT then you must distribute the credit against
VAT lines.
44
• To match the Credit Note to specific invoice distributions, click on the button to the
right of the [Match] button and select Invoice from the dropdown list.
• Click on the [Match] button. The Find Invoices for Matching window will appear.
Enter the Invoice Number and click on [Find].
• The Match to Invoices window will now appear. Select the invoice by checking the
Match box and enter the total amount to be credited in the Credit Amount field.
• To display the invoice distributions of the original invoice, click on the [Distribute…]
button. The Match to Invoice Distributions window will now appear.
45
• Select the lines to match by clicking the unmarked checkbox at the far left of the
window for each of the lines required. Enter the credit amount for each line.
• If the Invoice Credit amount includes VAT then the VAT amount should be entered
against the respective VAT distributions from the original invoice. [Notice that the
Account description for the selected line is displayed at the bottom of the window].
• Once the match has been processed, you will be returned to the Invoice header.
• If the credit note relates to more than one invoice, click on [Match] again and repeat
the steps above for each invoice you wish to match.
• When you have completed all the matches, click on [Distributions] to ensure details
have been matched correctly.
• Save work by clicking on the icon on the toolbar or by pressing Ctrl and S.
• If necessary generate VAT distributions by pressing the [Calculate Tax] button. The
system will automatically calculate the VAT amount, using the VAT code entered for
each distribution line. The account code charged is based on the VAT status of the
expense account code combination. Recoverable VAT will be charged to a QB62 2VA
account and non-recoverable VAT will be charged to the distribution expense
account. If there is a VAT rounding difference of £0.01 between the system calculated
Vat and the supplier credit note VAT please follow the procedure on pages 31 (‘How
to correct VAT rounding differences on invoices’).
• Close the Distributions window by clicking on the X in the top right-hand corner of
the window, or by pressing Alt and F4 together
46
Entering VAT only Invoices
Log into Oracle Financials. Follow the procedure for Standard Invoice Entry.
• On the Distributions window enter the appropriate Description which should include
the main invoice number that the VAT relates to.
The account code to enter will depend on whether VAT is reclaimable or not.
• Where VAT is reclaimable enter the Input VAT control account code: QB62 and
analysis code 2VA.
• Where VAT is not reclaimable then enter the expense account code combination or
enter the grant details if grant related.
• Scroll to the left of your window and click on the column titled 'Type'. This is located
two columns away from the Track as Asset column. Place your cursor on the 'Type'
field and click on the pick list button.
• The system will bring up the above List of Values. Select the Tax option.
• Once you have completed the form, Save your work and close the Distributions
window.
• Validate (approve) the invoice. The system will automatically place a 'Tax Amount
Range' hold on the invoice.
• To release the hold manually click on the [Holds] button and the following window
will automatically open.
47
• Click on the Release name field and press Ctrl and L together to open the List of
Values. Select the Approved option and Click [OK]. The Holds window will then
look like this:
• Save your work. The invoice is now ready for approval by an Authorised Signatory.
48
Allocating Freight & Miscellaneous Charges
You can use the allocate feature to automatically distribute freight, tax or other
miscellaneous charges to invoice distributions.
• Click on any distribution line and then on the [Allocate] button. This will open up the
Charge Allocations Screen in which you can prorate tax, freight and other
miscellaneous costs across one or more of the distribution lines. The Miscellaneous
option will normally be selected for Insurance and other costs.
49
• In the Type field, use either the button or Ctrl and L to bring up the list of values.
Select the type that best describes the charges you wish to prorate and click on [OK].
• Enter the appropriate Tax Code for the charge to be prorated. To obtain a list of the
Tax Codes available, hold down the Control (Ctrl) key and press L. A List of Values
will be displayed. Click on the option required or scroll down the list using your arrow
keys and press the Return key when the required option is highlighted or click on
[OK].
You can either ask the system to prorate across a number of distribution lines, or you can
allocate different amounts to the individual lines.
• Type in the net Amount you wish to be prorated across the distribution lines.
• Select the lines against which this amount will be prorated, by checking the boxes to
the left of the relevant distribution lines.
• Click [OK].
50
The prorated Distributions will be automatically created and entered on the invoice
distribution window. The Charge Allocations window will also be automatically closed.
The invoice Distributions window will now look like this:
Notice the description of the prorated lines. You will also observe that the amount
prorated is arithmetically weighted based on the original item value.
51
• When you click [OK], the prorated Distributions will be automatically created and
entered on the invoice distribution window. The Charge Allocations window will also
be automatically closed.
52
Adjusting Invoice and Invoice Distribution
Details
Clearing Input Data
You can use the clear function F6 or Clear tool on your toolbar to clear unsaved Invoice
Batches, Invoices and Distributions data from your screen. If data has been saved the
clear tool will only remove the record from the screen but not from the database.
Clear button Delete button
If you query the window the record will re-appear on your screen. Please note that
Distributions generated from Purchase Orders are already saved hence cannot be
removed from the database.
Invoice Batches can only be deleted if there are no invoices in the batch. If an Invoice
batch is to be deleted then delete the invoices first before attempting to delete the batch.
Invoices can be deleted before running the First level approval. Purchase Order matched
invoices can only be deleted after reversing the PO generated distributions.
Invoice Distributions can be deleted before first level approval. However PO generated
distributions and reversed distributions cannot be deleted.
Cancelling Invoices
Invoices once first level approved can only be cancelled. You should generally only
cancel an invoice if you do not intend to re-enter it. You should amend rather than cancel
and re-input an invoice because of input error. However in the cases below there is no
alternative but to cancel and re-enter and the procedure below should be followed.
a) where you have inadvertently selected the wrong supplier or supplier site and
have first level approved the invoice;
b) where you have final matched an invoice to the wrong Purchase Order or
matched an invoice to an already final matched Purchase Order and have a Final
Match hold on the invoice. Please follow the procedure laid out in
In the above situations there is no alternative but to cancel and re-enter the invoice.
Please note, however, that the invoice number can not be used again for the same
supplier (even if you are using a different site) unless you correct it the same day as you
entered it (ie before it is posted). If you re-enter the same invoice for the same supplier
you must use a modified invoice number for the re-entered transaction. In this case you
53
should use the original invoice number plus the suffix ‘REENTER’. For example if the
original invoice number was ‘1234 you should input the replacement as 1234REENTER.
54
A note will appear to ask you to confirm that you wish to cancel the invoice. Click [OK] if
you wish to continue.
The distributions will now be automatically reversed, Invoice amount changed to Zero
and the Invoice status updated to Cancelled.
• If the VAT code defaulting from a matched Purchase Order line is incorrect or entered
incorrectly, you have only one opportunity to correct it in the Invoice Distributions,
prior to 1st level approving the invoice. Once you have 1st level approved the invoice
you will be forced to reverse the net transaction line with the incorrect VAT code
against it and also reverse any VAT distributions created by the ‘Generate VAT’
process. You should then re-enter the net line with the correct VAT code and press
the ‘Calculate Tax’ button again. This procedure is described in detail on page 13.
• If the generated VAT amount is different from that on a supplier invoice/credit note by
£0.01 (a VAT rounding error) you can simply overwrite the calculated VAT amount to
make them equal before first level approving the invoice. This procedure is
described in detail on page 31.
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Changing Account Codes and Reversing Distributions
Matched Invoices:
Where Invoices are matched to Purchase Orders, the distributions for the matched lines
default from the Purchase Order.
Prior to calculating the tax on these lines, the Tax Code can be changed. However, once
the tax lines have been generated, the Item lines will need to be reversed and re-entered
as below:
Unmatched invoices
If the account codes chosen in the distribution lines of an unmatched invoice need to be
changed they can only be overwritten before the transaction has been posted by the
system overnight.
If it has already posted then you will have to follow the same procedure as for matched
invoices and reverse the incorrect line(s) before re-entering the correct ones.
• To Reverse distributions, highlight the Item lines you wish to reverse by holding down
the Ctrl key and clicking on the lines you wish to reverse. The highlighted lines will be
shaded turquoise.
You will notice that the Reverse button at the bottom of your window will change to
reflect the number of lines highlighted.
• Click on [Reverse] or hold down the Alt key and press the underlined letter R.
56
• The above window will appear. Confirm the reversal, by clicking on [OK].
• Click on [Calculate Tax]. This will reverse the associated tax lines.
Manually enter the correct distributions. (See ‘Standard Invoice Entry’ for more
information).
Note that reversing PO generated distributions reverses the PO match to the invoice i.e.
the PO lines are re-opened and the quantity billed is updated. If the PO is no longer
required you will need to manually close it using your PO buyer responsibility.
57
First Level Invoice Approval
Once you have entered the details of the Invoices, you must complete the first level
approval process. It is possible to approve them individually or as a batch. Follow the
same procedure for approving invoices, expense claims or Intra-Departmental transfers.
58
Validating (Approving) Invoice Batches
Follow the same procedure for approving invoices, expense claims or intra-departmental
transfers.
• To approve a batch, click on [Validate 1] on the Batch Header window. You will be
asked to confirm that you wish to approve the batch.
A note will appear to let you know the request number, and explain that you can check on
the status of the request in the Concurrent Requests window.
If you want to confirm that the invoices in the batch have all been approved then check
that the status of your concurrent request is 'Completed'. Reopen the Invoices window of
the batch you want to review and then select the Query menu and Run option. This
refreshes the Invoices window. You may now check each individual invoice to confirm
that the Holds window says 'Awaiting Secondary Approval'. Any other holds need to be
investigated and cleared.
59
If there is a problem with an individual invoice, a hold will be placed on this invoice, but
will not delay the whole batch. You can then sort out the problem with this invoice and
approve it separately.
60
Releasing Holds
If an invoice cannot be processed, Oracle Financials will place a Hold on it. The Status
field in the Invoice Form will say that the invoice Needs Revalidation.
• To find out the reason for the Hold and therefore resolve the problem, click on the
[Holds] button.
All the holds that have been applied will be listed, along with the reason for the hold and
the release name if applicable. This list should enable you to solve the problem and
process the invoice.
These Holds apply to all types of Invoices, including Expense Claims, Intra-Departmental
Transfers and Credit Notes.
For more information about the different types of holds and how to release them, see
Appendix IV.
Final Matching: PO is closed. Check that the invoice is not a duplicate. Reverse
distributions and rematch or enter as standard invoice
Cannot Close PO: You can manually release this hold. Please follow the procedure
below:
Cannot Try PO Close: Re-approve the invoice and the hold will clear.
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Manually releasing holds
The Tax Amount range hold can be manually released.
• Click on the Release name field and press Ctrl and L together to open the List of
Values. Select Validate option and click [OK]. The Holds window will then look like
this:
• Save your work. The invoice is now ready for approval by an Authorised Signatory.
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Pre Secondary Level Approval Report
It is now possible to run a report to list invoices that are awaiting secondary approval,
which details Grant Codes to which the invoices have been posted, as well as the
General Ledger Codes. Additionally, where relevant, the report lists the Purchase Order
Number to which the invoice has been matched.
Since this report lists both General Ledger Codes and Grant Codes, a printout of the
report would provide sufficient details to act as the IDT Form which can be attached to the
Batch Header for all Intra-Departmental Transfers, thus removing the necessity to
manually fill in any additional paper forms. Migrated departments would be expected to
be able to produce source documents or demonstrate how the original IDT input was
obtained, should this be necessary for audit purposes at a later stage.
A window will appear to ask whether you want to run a single request or a pre-defined set
of requests.
63
• Click on [OK].
• In the Request Name field, type in UCL and press your tab key or open the List of
Values to display the possible reports.
• Please note that there are two versions of this report. The Payables Entry
version will report on Invoices you have entered that are waiting for approval
and the Payables Approval version will report on Invoices that are waiting for
you to approve.
• A Parameters window will appear to prompt you to enter the Batch number.
• Type in the Batch number, or select it from the List of Values. The List of Values will
show all invoice batches within your approval group, which are awaiting secondary
approval.
64
• Click on [OK]. This will return you to the Submit Request window.
• Enter the number of copies you wish to print. Note that the default is set to zero and
this must be deleted, as it will not be automatically overwritten when you type, and
you may end up with ten times the number of copies you require!
• Enter the name of your local printer in the Printer field, or select it from the List of
Values.
• Enter the Style or choose it from the List of Values. Because of the way the reports
have been formatted, it is recommended that you use the Landscape style.
65
• If the report is still Pending or Running, the Phase and Status fields will be
highlighted in green. This page will not automatically update itself while it is on your
screen. Click [Refresh Data] to update it. It is not recommended that you
continuously press this button since this can put an unnecessary load onto the Oracle
Server.
Please note that you can continue to work whilst the report is running, you do not have to
wait until it has finished. You can even close Oracle Financials without the running of the
report being affected. To retrieve the report, or check its status after closing this window,
choose View My Requests from the Help menu of any of the standard Oracle Financials
windows.
• Once the Status of the report is Completed, it is possible to view the report by
clicking on the [View Output] button. This will launch a web browser window with the
outcome of the report.
66
• It is not recommended that you print the file from your web browser as it has been
pre-formatted for American paper/printers. The recommended way to print the report
is to return to your Requests window, either by closing this browser window or by
choosing View My Requests from the View menu. Find the request you wish to print
and ensure that the cursor is within the relevant line of that report.
• Enter the number of copies you wish to print. Note that the default is set to zero and
this must be deleted, as it will not be automatically overwritten when you type, and
you may end up with ten times the number of copies you require!
• Enter the name of your local printer in the Printer field, or select it from the List of
Values.
• Enter the Style or choose it from the List of Values. Because of the way the reports
have been formatted, it is recommended that you use the Landscape style.
67
Secondary Level Approval
Standard Oracle Secondary Approval process
68
• You can view only the invoice lines relating to the Invoice Batch you are about to
validate (approve) by clicking on the Query menu at the top of your screen and
selecting the Enter option. The screen will now appear blank. Enter the batch
number in the Batch Name field and press Ctrl and F11 together. The Invoice batch
details will now be displayed on your screen.
• To view details of the invoice distributions, including the Account Code, ensure that
the required invoice is selected by clicking with the mouse in any of the fields on the
line, and click on the [Distributions] button.
69
• After checking the invoice distributions, close the Distributions window to return to
the View and Authorise Secondary Approvals window, and click in the Authorise
checkbox to the right of the invoice line.
• Once you have selected the checkbox for all of the invoices you wish to approve,
save your changes by clicking on the icon on the toolbar.
• A Note will appear to tell you that Secondary Level Approval Holds have been
released from the invoices, and that they are now awaiting payment approval in the
DP section.
• Click on [OK]. A message will appear confirming completion of the approval process.
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UCL Secondary Invoice Approval process
A new function called UCL Secondary Invoice Approval has now been created. This
function was designed to streamline the secondary Approval process and to provide on-
line Grant/Project details for invoice distributions charged to Grant/Project codes.
On the Navigator window of the AP Payables Approval responsibility, choose the UCL
Secondary Invoice Approval option and double-click or press the Return key.
A Find Invoices window will now appear. You may enter the batch number or range of
batches that you intend to validate (approve) in the Batches field or enter a specific
invoice number or range of invoice numbers that you wish to validate (approve) in the
Invoices field and click the Find button.
If you wish to view all batches/invoices that are waiting for approval then you may leave
the Batches and Invoices fields blank and simply click on the Find button.
71
• The View and Authorise Invoices window will now display and the View
Secondardy Holds tab will show you any invoices that match the criteria that you
entered on the Find Invoices window.
• To view details of the invoice distributions, including the Account Code and
Grant/Project details, ensure that the required invoice is selected by clicking with the
mouse in any of the fields on the line, and click on the [Distributions] button.
You will notice that the Invoice distributions window will now show the Grant /Project
codes, Award, Task, Expenditure type, Expenditure item dates and PO number where PO
matched.
• After checking the invoice distributions, close the Distributions window to return to
the View and Authorise Secondary Approvals window, and click in the Authorise
checkbox to the right of the invoice line to validate (approve) the invoice.
72
• Once you have selected the checkbox for all of the invoices you wish to approve,
save your changes by clicking on the on the toolbar.
• A Note will appear to tell you that Secondary Level Approval Holds have been
released from the invoices, and that they are now awaiting payment approval in the
DP section.
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Stopping Payment of Invoices
• From the Navigator Window, expand Invoices and Entry and open Invoice
Batches.
• Apply a Payment Hold by clicking in the checkbox underneath the heading Hold, to
the left of the Due Date field.
• To view details of this Hold, click on the [Overview] button in the Invoices window.
74
If the checkbox underneath the heading Held is selected, payment of this invoice has
been stopped.
To view information about who created this invoice, when it was last updated, and by
whom, choose Record History from the Help menu.
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Invoice Batches Inquiry
Finding Batches
In the Navigator window, expand Invoices and Inquiry and open Invoice Batches.
• Type in the batch number you wish to retrieve in the Batch Number field.
• Next press Ctrl and F11. Please ensure that the departmental prefixes are entered in
uppercase letters. The required batch details will now be displayed on your screen.
• Alternatively you can retrieve a batch(es) by clicking on the Query menu option then
Find. The following box will appear :
• In the Names field enter the batch number you wish to query,
You may also retrieve a range of batches by entering the lowest number in the first of the
Name fields and the highest number in the second field.
OR
• To view invoices in the batch, press the Return key or click on the [Invoices] button.
This will bring up the Invoices Window.
• You may also view the invoice distributions of a selected invoice by clicking on the
[Distributions] button or pressing the Return key after selecting the required invoice.
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Finding the last batch number used
• In the Names field, enter the departmental prefix that you wish to query on followed
by the percentage sign %. You may leave the name fields blank if you have access
to only one departmental prefix. Ensure that the same information is copied in the
opposite field, you may need to add % sign.
• In the Dates fields, enter a date range as close as possible to the date of query. In the
first Dates field enter a date which you are sure a batch has been created on.
77
• Click on [Find].
A list of all the batches created on or after the earliest date in the range will now be
displayed.
If no records are retrieved, the implication is that no batches were created during the
period specified.
You will observe that the batches are displayed in numeric order; the last record on your
screen should be the highest and last number used.
To go directly to the last record, i.e. last batch number used, select View > Record >
Last.
In the above example, the highest number is CE4427; therefore, the next number to use
will be CE4428.
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Printing Batch Headers
Batch headers may be printed directly from the system after all the invoices and
distribution details have been completely entered. It is no longer necessary to manually
fill out batch header forms.
• Once the invoices and Distributions are completely entered, save your work and close
the Distributions window.
• Click on the Invoice Batches window. Your screen should look like this.
Please ensure that the folder selected is the UCL Batch Header.
• Check that you have only the required batch details on display. If you have more than
one batch or the wrong batch number then re-query the form to retrieve the right
batch as follows;
• In the Query Menu select Find. The following screen will appear.
• Enter the batch number that you wish to print in the Names fields.
• Click on the Find button, to find the batch. You can now view the batch header
information on the screen.
• In the Actions menu select Print. A copy of the batch header will be printed on your
printer.
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Invoice Enquiry
Invoice Overview
• In the Navigator Window, expand Invoices and Enquiry and open Invoice
Overview.
• Enter the supplier’s name in the Name field of the Supplier section and the invoice
number, if known, in the Num field of the Invoice section, and click the [Find] button.
This window shows details about the status of the invoice, any holds which have been
placed on it, payments which have been made, etc. To view other invoices that match
your criteria, click on the Invoice Num field and use the keyboard arrow keys to view
the next record.
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Invoice Summary
For a list of specific invoices, use the Invoice Summary option.
• In the Navigator Window, expand Invoices and Enquiry and open Invoices.
• Enter the criteria by which you wish to search and click [Find]. It is possible to specify
search criteria for as many of the fields displayed as you wish, or leave all of the fields
blank to list all invoices.
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Invoice Modification Data
Whatever Enquiry method you are using, it is possible to view information about who
created an invoice, when it was last updated, and by whom, choose Record History from
the Help menu.
82
Supplier Enquiry
• Open Suppliers from the Navigator Window.
• Enter the criteria by which you wish to search and click on the Find button. It is
possible to specify search criteria for as many of the fields displayed as you wish, or
leave all of the fields blank to list all suppliers.
• If the details requireds are not listed on the summary screen, select the appropriate
supplier and click on the Open button to display further details.
83
• Click on the Open button to display further details. That supplier’s window will now
be displayed.
• Ensure the supplier is active by looking in the inactive date box. If there is no date
then the supplier is an active one.
• Click on the various tabs to choose alternative details to display – for instance, click
on the Classification tab and then on the [Sites] button for details of the supplier’s
sites and payment terms.
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Payment Inquiry
Usually an Invoice Inquiry will show whether an invoice has been paid or not. Where
payment has been made, the invoice inquiry will show the cheque number and the date
that the cheque was raised.
A payment inquiry will only be required if you need more information about the actual
payment made to a Supplier.
Enter
cheque
number
here
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Date
cheque
was
cashed at
bank
Please note that the address the cheque was sent to is shown in the Supplier section.
The Clear Date and Amount also shows the date the cheque was cleared from our bank
account.
At the bottom of the window you will find a list of Invoices included in the payment. The
system will only display the invoices entered in your department. Other invoice details can
only be viewed by users with Central finance access.
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Reports in Accounts Payable
There are several thousand pre-defined reports provided with Oracle Financials, so,
instead of offering everybody the entire list, the reports are separated by Responsibilities.
For instance, you will only be able to run reports relating to your current responsibility and
will not have access to other reports. If you cannot find the report you wish to run, check
that you have chosen the correct responsibility and change it if required.
• In the Navigator Window, expand Other and Requests and open Run.
A window will appear to ask whether you want to run a single request or a pre-defined set
of requests.
• Click on OK.
87
• In the Request Name field, open the List of Values to display the possible reports.
• Select the name of the report you wish to run, for instance, Invoice on Hold Report,
and click on [OK].
A Parameters window will open with criteria fields relevant to the report you have
selected.
• Enter as much or as little criteria as required remembering that the more information
you enter, the narrower and more specific your search will be.
• Click on [OK].
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The Submit Request window will then re-appear.
• To specify that this report is to be run at particular times, click on the Schedule
button.
• By default, the report will be set to run As Soon as Possible. This will be applied if
no other option is selected.
• To specify a date on which the report is to be run, select the Once radio button and
enter the date required, or choose it from the Calendar (generated by opening the List
of Values by clicking on the button).
• To set it to run daily or weekly, select the Periodically radio button and specify how
frequently the report is to be re-run.
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• To set it to be run on more than one specific date, select the On Specific Days radio
button and select the days or options required from the calendar displayed by clicking
on them.
• Click on the [Options] button to request that a notification is sent to a specific person,
specify the number of copies to be printed, and/or change the printer to which the
report will be sent.
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• If the report is still Pending or Running, the Phase and Status fields will be
highlighted in green. This page will not automatically update itself while it is on your
screen. Click on the [Refresh Data] button to update it.
• To view the report, click on the [View Output] button. This will launch a web browser
window with the outcome of the report.
• If an error occurs during the running of the report, click on the [View Log…] button.
Again, this will launch a web browser to display details about the error.
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Period - End Procedures
Please find below a list of inquiries and reports that should be run prior to the end of the
financial year and the actions to be taken to clear any outstanding items. The procedure
for running reports and carrying out inquiries can be found in the Reports in Accounts
Payable and Invoice Enquiry sections of this manual.
Action Required
2) PAYMENT APPROVAL ie invoices and IDTs that are waiting to be approved in the
DP section.
• Confirm that the supporting documents have been sent to the DP section.
• Contact DP section if
- Supplier invoices and Expense claims were sent more than 7 days before the
date of report.
- IDTs were sent more than 2 weeks before the date of the report.
4) OTHERS
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Invoice Register (Showing Only Unapproved Invoices)
Run the Invoice Register report. On the Report Parameter window enter yes in the field
against line 9 to select Unvalidated Invoices Only, as in fig. 1 below:
figure 1
Action Required
• Confirm the reason why the invoice is unapproved and carry out any necessary input
action.
• Run batch or invoice approval
• Please note that the system will not post unapproved invoices to your accounts.
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Invoice Enquiry : Approved Invoices That Have Not Been
Paid
• Follow the Invoice Enquiry procedure.
• On the Find Invoices window,
- select Standard in the Type field of the Invoice section,
- In the Invoice Status section, select Unpaid in the Paid field and Approved in the
Status field.
• Click [Find] to run the enquiry (see fig.2 below).
• Repeat the above procedures using Expense Report, and Mixed invoice types
figure 2
Action Required
Review all invoices on the list and carry out the following:
• If invoice is less than a month old, do not take any action.
• If invoice is more than a month old then click on the Holds button and check the date
that Payment Approval was released.
• If the Payment Approval release date is more than 2 weeks from the date of inquiry,
then please contact DP section.
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Invoice Enquiry (Showing Unposted Invoices Held After
First Level Approval)
Follow the Invoice Enquiry procedure and select the options shown below :
The system will produce a list of invoices that meet these criteria. You may export the
data to a spreadsheet for further analysis if necessary. Please find the procedures for
exporting data from Oracle Financials (Newfis) to Excel Spreadsheets on the FIS website
at: http://www.ucl.ac.uk/finance/newfis/training/docs/Exporting/index.htm
However you will notice that the outstanding items are already on your Invoices on Hold
report. If you want the invoices to be posted to your accounts before the books are
closed for the year then you need to take the appropriate action as outlined in the Invoice
on Hold report section.
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Appendix I – Getting Help
At any point during your work, it is possible to access Help pages related to the work you
are doing. Click on the Help menu and select Window Help. Your web browser will open
and display the Help pages that are related to the Window, which was open. If this page
does not answer the queries you have, try clicking on the Contents or Index links at the
top of the screen.
Click on the
links to take
you to the
relevant page.
If you wish to read all of the pages for a particular subject, use the Next and Previous
links to navigate through the topic.
If you are confused by any of the jargon used by Oracle, either on the Help pages or in
the Oracle Financials application itself, try looking for the word in the Glossary. Note: this
Glossary does not provide details of the differences between American and English
Accountancy terms, and is not a fully comprehensive list
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Appendix II - The Toolbar
• New - create a new record. • Edit Field... - open the Editor window
for the current field.
• Find... - open Query Find window to
select records. • Zoom - invoke a custom-defined
Zoom.
• Show Navigator - open the Navigator
window. • Attachments... - open the
Attachments window to update or
• Save - save any pending changes in view the current attachment or add a
the current form. new attachment.
or
File > Save and Proceed - saves any
pending changes and prepares the • No Attachments - open the
form for the entry of the next record. Attachments window to create a new
attachment.
• Switch Responsibility... --display the
Responsibilities window – only • Folder Tools - open the Folder tool
displayed when the Navigator window palette.
is active.
• Window Help--open help for the
• Print... - print the current screen or in current window.
special cases, display a list of reports
to print. Other
• Close Form – closes the form that is • Status Bar – provides information
open. Prompts for changes to be about your actions and brief error
saved. messages. Is located at the bottom
left hand corner of the window.
• Clear Record - clear the current
record from the window.
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Appendix III – Keyboard Shortcuts
To get a list of Keyboard Shortcuts while using Oracle Applications, click on the Help
menu and choose Keyboard Help…
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Appendix IV –Summary of Approval Holds
Codes
Summary of Approval Hold Codes
The following tables are from the Oracle manual, and provide summary information about
each type of approval hold name that Payables provides and the approval names that
Payables predefines for each type. You can review these hold names in the Invoice
Approvals window. The last column of each table describes one or more methods you
can use to release the hold. You manually release holds using the Invoice Holds window.
Please note that because these tables are from the Oracle manual, not all of the Holds
mentioned will be applicable, and some of the release methods will be different.
Account Holds
The following table lists all the predefined Hold names with the Account Hold Reason
type.
Manual
Postin Releas
Hold Hold Reason Hold g e Hold Removed
Name Placement Allowe Allowe
d d
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Funds Holds
The following table lists all the predefined Hold names with the Funds Hold Reason type.
Payables applies these holds only if you use budgetary control.
Manual
Postin Releas
Hold Hold Reason Hold g e Hold Removed
Name Placement Allowe Allowe
d d
Transfer funds to
account budget and
resubmit Approval
In General Ledger,
enable a user to override
funds control and user
resubmit Approval
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Invoice Holds
The following table lists all the predefined Hold names with the Invoice Hold Reason type.
Manual
Hold Hold Reason Hold Postin Releas Hold Removed
Name Placement g e
Allowe Allowe
d d
AMOUNT Invoice amount Invoice Yes Yes Adjust invoice amount and
> Entry resubmit Approval
Invoice amount
limit you specify Manually release in the
for a supplier Invoice Holds window
NATURAL You assigned a Approval Yes Yes Change the tax name to the
ACCOUNT tax Name to an correct tax name
TAX expense or Disable the Enforce Tax
asset account in From Account Payables
the Tax Options option
window, and
you enabled the In the Tax Options window
Enforce Tax in General Ledger, change
From Account the tax name association or
Payables option enable the ‘Allow Tax
and the tax Override’ checkbox
name does not
match the
account
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Matching Holds
The following table lists all the predefined Hold names with the Matching Hold Reason
type.
Hold Manual
Hold Name Hold Reason Placement Posting Release Hold Removed
Allowed Allowed
Manually release in
Invoice Holds window
MAX QTY Quantity billed > Approval Yes Yes Correct PO or invoice
ORD (quantity ordered + and resubmit Approval
tolerance amount)
Adjust tolerance and
resubmit Approval
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MAX QTY Quantity billed > Approval Yes Yes Correct invoice or receipt
REC (quantity orde4red and resubmit Approval
+
tolerance amount) Adjust tolerance and
resubmit Approval
PRICE Invoice unit price > Approval Yes Yes Correct PO or invoice
[purchase order and resubmit Approval
unit price
x (1 + % tolerance)] Adjust tolerance and
resubmit Approval
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QTY ORD Quantity billed > Approval Yes Yes Correct PO or invoice
[quantity ordered and resubmit Approval
x (1 + % tolerance)]
Adjust tolerance and
resubmit Approval
QTY REC Quantity billed > Approval Yes Yes Enter receipt in
[quantity received Purchasing and resubmit
x (1 + % tolerance)] Approval
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Variance Holds
The following table lists all the predefined Hold names with the Variance Hold Reason
type.
Manual
Postin Releas
Hold Name Hold Reason Hold g e Hold Removed
Placement Allowe Allowe
d d
TAX Tax amount < [(tax Approval Yes Yes Adjust tax rate for tax
AMOUNT rate x taxable dist name and resubmit
RANGE line total) – tolerance Approval
amount]
Change tax name on
or invoice distributions and
resubmit Approval
Tax amount > [(tax
rate x taxable dist Adjust tax tolerance and
line total) + tolerance resubmit Approval
amount]
Manually release in the
Invoice Holds window
TAX Tax amount < [(tax Approval Yes Yes Adjust tax rate for tax
VARIANCE rate x taxable dist name and resubmit
line total) x (1 - % Approval
tolerance)]
Change tax name on
or invoice distributions and
resubmit Approval
Tax amount > [(tax
rate x taxable dist Adjust tax tolerance and
line total) x (1 + % resubmit Approval
tolerance)]
Manually release in the
Invoice Holds window
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Miscellaneous Holds
The following table lists miscellaneous predefined Hold names that Payables use to apply
holds to invoices.
Manual
Postin Releas
Hold Hold Reason Hold g e Hold Removed
Name Placement Allowe Allowe
d d
[All You enabled the Hold No hold Yes N/A Disable the Hold All
Payments] All Payments option placed on Payments option in the
for the invoice’s invoice, but Supplier Sites window
supplier site the enabled and Payables allows you
option to select the supplier
prevents site’s approved invoices
payment of for payment
a supplier
site’s Create a manual
invoices payment for any of the
held invoices
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Appendix VI - Frequently Asked Questions
1. Suppliers
1.i There is more than one account for the same supplier, which one do I
choose?
Check the supplier site addresses and choose the supplier whose site address
matches your invoice address. If none of them match your invoice then ask DP
section to create a new site. If all the supplier accounts have the same site
addresses then choose the Supplier with the lowest number. We are in the
process of merging all the multiple accounts into single accounts.
2. Batch Headers
2.i How to print batch headers
• Select the batch header you want to print by clicking on Query, and Find.
Then enter the batch number you require and click on the Find button
The system brings up the batch details
• Confirm that you have the right folder open i.e. UCL BATCH HEADER
• Click on the Action menu and then click Print
• A copy of the batch header would be printed on your printer
Please check that you have used the standard invoice type and not expense
report type. If you have used the wrong invoice type then you would have to
delete the invoice and re-enter the invoice. See 5.i
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3.ii I am unable to enter a grant distribution against a 6P … expenditure
type because the system is requesting for a valid quantity
3.iii I wish to enter a distribution against a grant code but the system is
requesting for an expenditure Item date
In this case you are trying to enter an expense against a completed grant.
Please confirm the completion date of the grant and enter a date on or before
the grant completion date. You can confirm the date as follows:
• Select the grant field
• Click on the picklist button on the toolbar or press Ctrl and F11
• Enter the grant code and click the Find button
The system would then bring up brief details about the grant.
• Scroll to the right to view the grant completion date.
3.iv I have entered my distributions against grant codes and the system
generated account codes are different from the grant codes that I
entered?
The grants were set-up to map to control accounts in the general ledger. The
account codes for these control accounts are different from the grant codes
that you have entered. See further details on COA Philosophy document on
the NewFIS website
4. VAT Distributions
4.i How do I confirm that the VAT amount is correct before the first level
approval process is run?
• Select View and Update Tax Summary form from the Tools menu. Click
on Cancel to exit the form or OK to bring up the VAT line and update the
distribution total.
• Alternatively, press the [Calculate Tax] button and wait for the system to
complete the process by bringing up the VAT lines and updating the
distribution total.
• Check that your Invoice total agrees with the distribution total, if not then
make the necessary changes as described in section 4.ii below.
4.ii System calculated VAT amount does not agree with the invoice VAT
amount due to rounding differences or insignificant arithmetical errors
on Supplier invoices
• Select the View and Update Tax Summary form from the Tools menu
and manually change the VAT amount so that it agrees with the invoice
VAT amount.
• Click on OK to enter the amended VAT line.
• If you have already pressed the [Calculate Tax] button, you can update
the VAT amount by overtyping it.
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• Please note however that you can only change the VAT prior to saving the
record.
See reference 4.iii if you still have a variation after doing this.
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4.iii Invoice still has a VAT rounding Problem
Insert a new line immediately after the net amount line and give it a value of
+/-£0.01 (depending whether you need to adjust up or down). The added line
type must be Item and the tax code must be 0. You can copy all other details
from the line above.
4.iv Most of our expenses are VAT recoverable, and I am not sure of the
VAT codes to use
Recoverability is now defined at the account code level. The code to enter is
the one that corresponds with the VAT rate on your invoice. Please find
further details on the VAT overview document on the Newfis website.
5.i.i If invoice is unapproved (first level approval has not been done)
• Ensure that you are on the invoices window and the cursor is on the
invoice line that you wish to delete
• Click on the button on your toolbar
• Click OK on the delete message box.
• Once the deletion is completed save your work .
5.iii I have entered an expense claim with the wrong invoice type, how do I
correct this error
Delete the invoice and re-enter it with the standard invoice type.
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5.iv I How can I amend input errors on my distribution window
• Before approval
Distribution details that are not generated from purchase orders can be
changed or deleted before the first level approval stage. Follow the
procedure for adjusting invoices and remember to save your work .
5.v Please see the invoice adjustment chart at the end of this document.
6. Invoice Approval
6.i After running the batch approval process, how do I confirm that all the
invoices in the batch have been approved?
• The batch approval process normally takes a few minutes to run. The time
taken is dependant upon the number of entries in the batch and how busy
the system is. Please wait a few minutes before checking that all the
invoices in your batch have been approved.
• After waiting for a few minutes you may open the Invoices window of the
batch and click on Query, then Run. This refreshes the screen and you
may then check that your invoices have been approved by reviewing the
Holds placed on them.
6.ii I have approved my invoices but don't know where they have gone for
secondary approval?
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Invoices are automatically available for all authorised signatories in your
Department once the First Level approval is carried out. You do not need to
send them to anyone for approval.
6.iii An invoice was not approved in my batch of 10 invoices. Does this stop
the rest from being processed further?
No
7. General advice
7.i It is advisable that you print out or review the Invoice on Hold Report at the
end of every day to ensure that all your invoices were successfully entered.
7.ii You may validate (approve) more than one batch at a time. To do this
• Navigate to the Invoice batches window
• Press the SHIFT key and then click on the invoice batches that you wish
to approve. The batches would become highlighted in blue and the
Validate button would indicate the number of batches that you have
highlighted
• Lift your finger off the shift key and then click on the Validate button
The system would ask you to confirm the number of batches to be
approved.
• Click OK
7.iii The on screen 'help' is very useful and provides the following information:
• Window help: topics relating to the window you are working on
• Keyboard help : A list of keyboard shortcuts
• View My Request : Confirm the status of your requests
• About this Record: Details of who created a record and when it was
created
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113
Appendix VII – Invoice and Invoice
Distributions Adjustments Charts
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