v.5 Accounts Payable: Best Practices

Size: px
Start display at page:

Download "v.5 Accounts Payable: Best Practices"

Transcription

1 v.5 Accounts Payable: Best Practices (Course #V210) Presented by: Dave Heston Shelby Consultant 2017 Shelby Systems, Inc. Other brand and product names are trademarks or registered trademarks of the respective holders.

2 Objective To help you learn best practices for using Shelby v.5 Accounts Payable This session presents the following topics: How Accounts Payable relates to other modules o GlobaFILE and General Ledger o Linking to General Ledger o Cash vs. Accrual How to process ACH and Vouchers o Company ACH information o Voucher settings o Vendor ACH Information o ACH Invoice Entry o ACH Payment Printing Vouchers and ing Vouchers How to process Distribution Information o Setting up a Distribution o Using a Distribution How to work with Vendor Information o Adding or Updating Vendor Information o Delete a Vendor (Purging Vendor History is also and option) o Organize Vendor Names that start with The How to process Invoices o Print on Separate Check/Use ACH/Payment on Hold o Invoice/Adjustment/Manual Check o Purchase Order o General Ledger Distribution o Keep Distribution Line for Next Vendor o Acquire/View 2

3 How to Void a Check o What is Keep Distribution Line as Unpaid? o Let s talk about when to void a check; within the Current Period or later? How to use Recurring Payments o Enter Recurring Payment(s) o Transfer Recurring Payment(s) How to use Inquiries to Correct Mistakes o Remove Unpaid Invoice(s) o Correct 1099 Information o Correct Project Information How to run Account Payable Reports o Print Outstanding Items o Other Account Payable Reports 3

4 How Accounts Payable Relates to Other Modules Before we begin to discuss the setup and operation of the Accounts Payable module, it is important to understand there are many facets of information that Shelby collects. The information you see displayed in Accounts Payable is based on two foundations: GlobaFILE and General Ledger. GlobaFILE (General Information) contains the core information for every person and organization that is stored in Shelby. General Ledger, on the other hand, is the foundation for all financial information in Shelby. When setting up the Accounts Payable module there are two mandatory items that need to be checked. Establish your interface with the General Ledger. This sends a Journal Entry to the General Ledger when you post and pay expenses. By entering your payables # found in the liabilities section of your chart of accounts you indicate you are operating on an accrual system. Leave the field blank to operate on a cash system. Both the Accrual and Cash systems are described below. o Accrual System This method sends entries to the General Ledger when invoices are entered and updated. The Accounts Payable account are credited and the expense or other accounts being charged are debited. Once the checks are written and updated, the Accounts Payable account is then debited and the bank account is credited. o Cash System Using this method, no entries are sent to the General Ledger when invoices are entered and updated. The bank account is credited and the expense or other accounts being charged are debited when the checks are written and updated. 4

5 Process ACH and Vouchers Many companies are now paying vendors and employees through electronic transactions and sending notification via . In Shelby v.5 two areas need to be set up prior to using ACH payments. The company information for ACH needs to be set up prior to setting up the vendor information. You are looking at the complete process for using ACH payments and vouchers. Company ACH Information This feature allows your organization to use the ACH (Automated Clearing House) to transfer money from your bank to the vendor s bank. Your financial institution provides you with the information needed to set up the Company ACH. The system prints a voucher for the vendor instead of a check and creates a file to send to your financial institution for the transfer. Before you get started, set up the vendor information and then enter the transit/routing information for each vendor who is going to participate. After the setup work is done, every time you process checks the system prints the vouchers and creates the file. Company Name Your organization name. Company ID If you enter a number in this field, it prints on the Verification Report and is added to the ACH.txt file as Company ID. If this field is left blank, the Federal ID number entered in Company Information is used as Company ID. Use Offset detail record? Check with your bank to determine if it requires the offset line that contains the total of the transactions in the ACH.txt file. Immediate Destination ID Type the routing number and check digit of the immediate destination or the ACH operator. Immediate Destination Name Type the immediate destination name or the ACH operator. Immediate Origin ID Type the immediate origin identification number given to you by your bank. Immediate Routing # This is always the routing number of the immediate origin. This is usually the company bank's routing number. It may be the same as the immediate origin ID. Immediate Origin Name Normally this is your bank's name. Receiving DFI ID Type the transit/routing number of the receiving financial institution. Receiving DFI Account # Type the bank account number of the receiving financial institution. ACH Security The information typed here precedes the file. If the security record is not the same as you have predetermined with your financial institution it does not accept the file. File Location This field indicates the path and file name of the file created when you process checks to send to your financial institution (e.g., c:\shelby\ssv.5.dat\ach.txt). 5

6 Use Uppercase Select the check box to make the ACH file appear in all uppercase (required by some banks). Mask ACH Number on Verification Report Click the check box to hide the ACH Number on the Verification Report. 6

7 Vouchers Settings Set up SMTP information on the Vouchers tab to Accounts Payable vouchers to vendors. The voucher is attached to the message as a secured PDF file (provided the Secure PDF check box is marked in the PDF Export options). The vendor is prompted to enter the last four digits of its tax ID (or social security number for an individual) to open the file. The SSN is masked (except for the last four digits) on vouchers. Remember that you must enter a password for permission when the PDF Export Options screen displays. If this field is left blank, it defaults to your customer number. NOTE: Before you set up the SMTP feature, contact your network or system administrator and your ISP (Internet Service Provider) for proper configuration and explain what you are doing. Most ISP's consider any mass or bulk ing SPAM and have methods in place to prevent SPAM mailing, even going so far as to cancel an account for SPAM mailing. Popular web based services such as Yahoo, Netscape, and MSN no longer allow SPAM mail. If you have a mail server running on MS Exchange or Novell GroupWise, there are settings that your administrator needs to make to allow the Send Mail function to work. Exchange Message Relaying needs to be enabled on the computer or computers which are using the Send Mail function. For GroupWise the controls for Internet addressing need to be set and configured. If you have setup questions, contact your administrator or the manufacturer of the application running your mail server (ex. Microsoft or Novell). 7

8 Vendor ACH Information Select the Default ACH Type from the drop down list (None, Checking, Savings). Select the DFI Bank Routing ID by entering the number or clicking to pick one from available selections. Type the DFI Bank Account #. Add address to Vendor Record. Using Vouchers To activate the Vouchers option, select the Vouchers check box on the Check Processing screen near the Print Checks button at the bottom right of the screen. 8

9 ACH Invoice Entry You are now ready to create invoices to be paid through the ACH process. When an invoice is created and the Vendor is set up for ACH payment, the check box defaults to this option and updates the ACH invoice tab. You can pay a Vendor with ACH even if the vendor is not set up for ACH. When entering the invoice you add the needed information to the ACH Information tab that appears when you select the Use ACH check box. This account information is saved with the invoice so it is possible to pay to different accounts if needed. 9

10 ACH Payment, Voucher Printing, and E mail Voucher This process includes selecting the invoices to pay and then printing the checks and vouchers. A register is generated prior to printing for you to verify and keep for your records. Check Processing is the same for checks or vouchers. An invoice set up to pay as ACH has this option marked on the Unpaid Invoice List in Check Processing. If you are ing a voucher instead of printing a hard copy be sure to select the Vouchers check box near the Print Checks button. Once checks have been printed you receive the following message: When the checks are finished, an ACH report displays to verify the information and print for your records. 10

11 After the ACH report prints the vouchers are viewable on the next screen, create the file for . From the top menu of the Print Screen select File > Save As > PDF. After selecting to save the vouchers as PDF documents the PDF Export Options window displays. 1. Save File As This is the file path to the server where the copies are stored. 2. Secure PDF? Select this check box to activate security for voucher retrieval. This requires the recipient to use the last four digits of the Tax ID or SS# found on the vendor record to open the file. The file itself does not have to be secured. 3. Click the OK button to start the process. Send a message before sending the vouchers. To send an voucher there must be a valid on the Vendor record under Demographics. 11

12 Distribution Information You may have invoices that need to be charged to different General Ledger account numbers based on a percentage of the total amount of the invoice. In Distribution Setup you define the distribution information specifying the account numbers and the percentage to be charged to each account. The Percent Total must equal 100%. The distribution information is then used when you enter invoices. To set up a Distribution: From the Accounts Payable Home Base screen top menu select Utility > Distribution Information. Right click and select New. 1. Enter the name of the Distribution in the Description field. 2. Enter the Fund, Dept., and Account to charge and designate the percent of the total. You also have the option to include a Project and 1099 information. 3. Click the OK button to update. 12

13 Using a Distribution: You may have invoices that need to be charged to different General Ledger account numbers based on a percentage of the total amount of the invoice. You specified the percentage breakdown in an earlier step. The distribution information is then used when you enter invoices. Click the Use Distribution button at the bottom right of the invoice entry screen. 13

14 Working with Vendor Information Information for each vendor must be established prior to processing your first invoices. This is done all at one time under Vendor Information or individually at the time of invoice entry. The detail of each invoice processed is maintained for inquiring and reporting. When you open Vendor Information the screen is blank; either click your mouse to see all vendors or enter a name in Name Filter to see a specific choice. 14

15 Add/Update Vendor Information You can change any information on the Vendor record by double clicking on the name of the vendor. When the vendor record displays use the Navigator options to move through topics to update. 1. Default Fund, Department, and Account Number 2. Default ACH 3. Default Distribution 4. Default 1099 Status 5. Last Invoice information 6. NOTES!!!! Click the Save and Close icon to save the new information. 15

16 Delete a Vendor Deleting a vendor does not remove it from GlobaFILE, only from Vendor lists and reports. To delete a vendor, from the Accounts Payable Home Base select Vendor Information area. Select the correct vendor on the Information screen. (Caution: Verify the vendor information prior to deletion). Once you have confirmed the vendor is correct highlight the vendor in the list and delete the record. Click the Delete icon on the top toolbar or, while the vendor name is highlighted, right click and select Delete Vendor. The following message appears for you to read. Click the Yes button to continue and delete or click the No button to return to the Vendor Information screen without deleting the vendor. 16

17 Organize Vendor Names that Start with The Some vendor names start with a, an, or the. Note in the screen below, for example, there is a vendor named The Body Shop. Entering the name exactly this way presents a challenge to anyone searching for the vendor, especially if there are multiple vendors starting with The. A solution to this challenge is to use a semicolon within the name to control sorting (e.g., Body Shop; The). This example is sorted with the B s but prints on checks and reports as The Body Shop. Using this method, you search for the vendor by just typing Body. The record is not found if the search is for The Body Shop. 17

18 Processing Invoices Processing Accounts Payable (AP) involves entering the invoice information, printing the edit list to verify your entries are correct, and finalizing the invoices. You can enter invoices, adjustments, and/or manual checks. Any of the information is easily changed or deleted prior to finalizing the invoices. Once the invoices are finalized they move into the Process Checks section as unpaid invoices pending payment. 1. You have the options to Print on Separate Check?, Use ACH?, or Payment on Hold? 2. Is this an Invoice, Adjustment, or Manual Check? 3. Are you using the Purchase Order module? 4. General Ledger Distribution 5. Keep Distribution Line for next Vendor? (Dave has a story to tell.) 6. Acquire/View When would you enter a Memo?????? 18

19 Print on Separate Checks This option allows you to pay multiple invoices to one vendor with separate checks. Select the Print on Separate Check? check box when entering the invoice or select the Sep check box before processing checks. Use ACH discussed earlier Hold for Payment Check this box if you do not want to immediately pay this invoice. Adjustment An adjustment is usually referring to a duplicate invoice #. Create a negative invoice or adjustment by entering a minus before the amount ( ) to reflect a credit amount to be applied to the account. If the Credit Memo has a new number, you enter it as an invoice. Then complete the process as a standard invoice for payment. Manual check By select the Manual Check radio button on the Invoice Entry screen you activate the Check # and Check Date fields. All other information is entered as an invoice. After you finish the entry and return to the Invoice Processing grid run the Edit report, which reflects the check information. Use this report to verify data entry. When would you use this?????? Click the Save icon to finalize the manual checks. The system generates a manual check register and an AP journal entry report. These checks update to the GL for final posting. No further work is needed in AP. 19

20 VOIDING A CHECK You can void any checks that have been entered and finalized within the Accounts Payable module. This makes the necessary adjustments in the General Ledger work file, Accounts Payable, and Bank Reconciliation. If you have several checks to void, the program creates a journal entry for each one individually. If the check you are voiding has multiple lines of distribution, the void reverses each line. You cannot void a check that has been cleared in Bank Reconciliation. Correctly Voiding a Check(s) 1. You must supply a check number. Zero (0) should be used for ACH entries. 2. Do you want to Keep Detail Lines as unpaid? Let us talk about this. When you Post Entries to General Ledger, think about the original check date. o Did it fall within the current Period before you reconciled the Bank Statement? o Did it fall before the current Period, and have you already reconciled prior period Bank Statements? 20

21 Recurring Payments A Recurring Payment is an invoice that is entered once in the Recurring Payment grid and is then transferred (normally once a month) when you process invoices. An example of a Recurring Payment is an invoice to the mission board each month for $ Rather than entering an invoice for this payment each month, enter it once as a recurring payment. Then, once a month go to the Invoice Processing screen and select Utility > Transfer Recurring Payments option when you process invoices. Once the invoice is transferred, you can change amounts, dates, or account information. After you transfer a Recurring Payment, it is processed the same as a standard invoice. Entering Recurring Payments 1. From the Accounts Payable Home Base screen select the Invoice Processing option. 2. From the top menu of Invoice Processing select Utility > Recurring Payments Information. (Or from the top menu of the Accounts Payable Home Base screen, select Utility > Recurring Payments Information.) 3. Right click in the Recurring Payments grid and select New. INVOICE # Enter an Invoice # that defines the invoice (ex. orch1). Each time the invoice is transferred the system adds the month and year (ex. orch for October of 2015) to create a unique invoice number. DAY Enter the Day to pay. This is the day of the month you frequently transfer this invoice. It can be done at any time; this just gives the system a reference. At this point invoice entry is very similar to a normal invoice. FREQUENCY Select how often this invoice is paid (monthly, weekly, etc.). This allows you to transfer selected groups at appropriate times. Note: A Recurring Invoice requires a description on each detail line in the distribution. 21

22 Transfer Recurring Payment(s) Follow the same steps as above except select Transfer Recurring Payments. Fill in the box that displays as needed and then click the OK button. Invoices are ready for modification or processing. Due Date (MM/YYYY) This is added to the end of the invoice number. Invoice Date Becomes the invoice date for all invoices transferred at this time. Project, Due Day, and Frequency Filters for transferring invoices Typically, the Due Day and Invoice Date are sufficient for transferring invoices. Proceed to Invoice Processing where you can change, delete, or place on hold the recurring invoice as needed. Otherwise, proceed to Print an Invoice Edit and continue the process. 22

23 Remove Unpaid Invoice(s) (Why and When) Inquiries Correct Mistakes From the Accounts Payable Home Base screen select the Inquiries option to search for the unpaid invoice. Double click the invoice to be unpaid or undone. On an unpaid invoice you have the option to UNDO the invoice. This action removes it from Process Checks and places it back into the Invoice Processing grid. Make changes to the invoice or delete it in Invoice Processing. You cannot UNDO a paid invoice; you have to void the check. The Undo Invoice button is at the bottom of the Invoice Inquiry window. See below: 23

24 Correct 1099 Information When an invoice is entered and paid to a Vendor without using the proper 1099 classification, you can correct this in the Inquiries section. If all items to this Vendor are classified as 1099, this is set as a default on the Vendor record. To make the change after the item is paid: 1. From the Accounts Payable Home Base screen select the Inquiries option. 2. Select filters on the Criteria screen to locate the correct invoice and then click the OK button. To change the 1099 status from this screen: 1. Click the current 1099 status column. 2. Click the drop down icon. 3. Choose the 1099 status desired. NOTE: This is a per invoice line change. You must have update rights to modify 1099 Status within security to make this modification. Correct Project Information When an invoice is entered and paid to a Vendor and the Project Information is omitted or is incorrect, you can correct this in the Inquiries section. Note that changing the project here does not affect any journal entries. 24

25 Print Outstanding Payables Running Accounts Payable Reports The Invoice Listing is a list of paid, unpaid, or voided invoices. There are many options with this one report selection. These fields are all filters; the more you fill in, the narrower your list. From the Accounts Payable Home Base screen select the Reports option and then select Invoice Reports > Invoice Listing. When the Unpaid radio button is selected, you can produce a list of invoices, unpaid through a specified date. Note that they may be paid as of the current report date. When the Unpaid As Of check box is selected, a date field is made available. This generates a list that can be compared to your liabilities Payable account for the same accounting period. 25

26 Use the Aged Analysis Report to print invoices by due date or invoice date sequence. The report shows all current, future, and past due invoices and shows invoices in over 30, 60, or 90 day old format. This also generates a list that can be compared to your liabilities Payable account for the same accounting period. Other Accounts Payable Reports Let us talk about these reports o Vendor Summary (auditors like this one) o 1099s (Check vendor totals first. What forms are you using?) o Vendor Labels o Selections and Listings 26

27 Q&A Class Discussion 27

28 Dave Heston Shelby Consultant Dave served as an accountant for a Phoenix based CPA firm before he joined the staff of his church in Over the last 40 years Dave has served as an administrator at three churches in the Phoenix metro area, and he recently retired as the Director of Finance for Phoenix Seminary in AZ. Dave has been a Shelby user since 1985 and also trains as a Shelby Consultant on Shelby v.5 and ShelbyNext.

ShelbyNext Financials: Accounts Payable Best Practices (Course #N210)

ShelbyNext Financials: Accounts Payable Best Practices (Course #N210) ShelbyNext Financials: Accounts Payable Best Practices (Course #N210) Presented by: Carmen Dea, Shelby Consultant 2017 Shelby Systems, Inc. Other brand and product names are trademarks or registered trademarks

More information

v.5 General Ledger: Best Practices (Course #V221)

v.5 General Ledger: Best Practices (Course #V221) v.5 General Ledger: Best Practices (Course #V221) Presented by: Mark Fisher Shelby Consultant 2017 Shelby Systems, Inc. Other brand and product names are trademarks or registered trademarks of the respective

More information

Accounts Payable MODULE USER S GUIDE

Accounts Payable MODULE USER S GUIDE Accounts Payable MODULE USER S GUIDE INTEGRATED SOFTWARE SERIES Accounts Payable MODULE USER S GUIDE Version 3.1 Copyright 2005 2009, Interactive Financial Solutions, Inc. All Rights Reserved. Integrated

More information

User Documentation for School Activity Funds Accounting

User Documentation for School Activity Funds Accounting User Documentation for School Activity Funds Accounting By: Applied Business Services, Inc. 800 S. Frederick Avenue, Suite 101 Gaithersburg, MD 20877 1-800-451-7447 ext. 130 www.appliedbusinessservices.com

More information

Tabs3 General Ledger Guide

Tabs3 General Ledger Guide Tabs3 Tabs3 Copyright 2013-2018 Software Technology, LLC 1621 Cushman Drive Lincoln, NE 68512 (402) 423-1440 Tabs3.com Tabs3, PracticeMaster, and the pinwheel symbol ( ) are registered trademarks of Software

More information

ShelbyNext Financials Portal

ShelbyNext Financials Portal How To Use ShelbyNext Financials Portal Updated: 6/21/2016 2016 Shelby Systems, Inc. All Rights Reserved Other brand and product names are trademarks or registered trademarks of the respective holders.

More information

ShelbyNext Financials (Pre-ISC Hands-On)

ShelbyNext Financials (Pre-ISC Hands-On) ShelbyNext Financials (Pre-ISC Hands-On) [Course #F101] Presented by: Carmen Dea Shelby Consultant 2018 Shelby Systems, Inc. Other brand and product names are trademarks or registered trademarks of the

More information

Nexsure Training Manual - Accounting. Chapter 7

Nexsure Training Manual - Accounting. Chapter 7 Nexsure Training Manual - Accounting Vendor Entries In This Chapter Vendor Entries at the Organization and Territory Level Vendor Entity Definition Disbursements to Vendors Line Item Distribution Receiving

More information

The following are modifications made to the Shelby v.5 programs between versions and sp1.

The following are modifications made to the Shelby v.5 programs between versions and sp1. Release Notes Updated: 6/17/2013 2013 Shelby Systems, Inc. All Rights Reserved Other brand and product names are trademarks or registered trademarks of the respective holders. v.5.13.1000 sp1 Release Notes

More information

Client-Account Receivable

Client-Account Receivable Nexsure Training Manual - Accounting Client-Account Receivable In This Chapter Client Accounts Receivable Entity Definition Receive Payments from Clients Relating to Policies Allocation of Payment Leave

More information

Cross Check. Modified the program to create the default backup folder during the backup/restore process if the folder did not already exist.

Cross Check. Modified the program to create the default backup folder during the backup/restore process if the folder did not already exist. Program Revision List Release Version v5.7.1200 The following are modifications that have been made to the Shelby v5 programs since 5.7.1100 (7/02/2007). Check Database Structure for Changes Modified program

More information

Accounting Table of Contents

Accounting Table of Contents Accounting Table of Contents Accounting Table of Contents 1 About Church Windows Accounting 4 Chart of Accounts Setup 6 Adding and Removing Accounts 7 Managing the Chart of Accounts 9 Detail tab 9 Balance

More information

Tabs3 General Ledger Guide

Tabs3 General Ledger Guide Tabs3 General Ledger Guide Tabs3 General Ledger Guide Copyright 2013-2015 Software Technology, Inc. 1621 Cushman Drive Lincoln, NE 68512 (402) 423-1440 Tabs3.com Tabs3, PracticeMaster, and the "pinwheel"

More information

Bank Reconciliation Release 2015

Bank Reconciliation Release 2015 Bank Reconciliation Release 2015 Disclaimer This document is provided as-is. Information and views expressed in this document, including URL and other Internet Web site references, may change without notice.

More information

v Update Release Notes

v Update Release Notes v5.10.1000 Update Updated: 10/11/2010 2010 Shelby Systems, Inc. All Rights Reserved Other brand and product names are trademarks or registered trademarks of the respective holders. Release Version v5.10.1000

More information

SMU Financials Created on April 29, 2011

SMU Financials Created on April 29, 2011 Created on April 29, 2011 Notice 2011, Southern Methodist University. All Rights Reserved. Published 2011. The information contained in this document is proprietary to Southern Methodist University. This

More information

CHAPTER 3: DAILY PROCEDURES

CHAPTER 3: DAILY PROCEDURES Chapter 3: Daily Procedures CHAPTER 3: DAILY PROCEDURES Training Objectives Actively participating during this chapter helps you to: Understand the different types of transactions and the procedures for

More information

Journal Entries Overview

Journal Entries Overview Journal Entries Overview To access the Journal Entries screen: Option 1: 1. From the Desktop, click on the Accounting Icon 2. Click on Account Transactions in the left navigation 3. Click on the Journal

More information

Sage One Accountant Edition. User Guide. Professional user guide for Sage One and Sage One Accountant Edition. Banking. Invoicing. Expenses.

Sage One Accountant Edition. User Guide. Professional user guide for Sage One and Sage One Accountant Edition. Banking. Invoicing. Expenses. Banking Invoicing Professional user guide for and Canadian Table of contents 2 2 5 Banking 8 Invoicing 15 21 22 24 34 35 36 37 39 Overview 39 clients 39 Accessing client books 46 Dashboard overview 48

More information

Disassembly of the CertiflexDimension software is also expressly prohibited.

Disassembly of the CertiflexDimension software is also expressly prohibited. All content included in CertiflexDimension programs, manuals and materials generated by the programs are the property of The Versatile Group Inc. (TVG) and are protected by United States and International

More information

CYMA IV. Accounting for Windows. CYMA IV Getting Started Guide. Training Guide Series

CYMA IV. Accounting for Windows. CYMA IV Getting Started Guide. Training Guide Series CYMA IV Accounting for Windows Training Guide Series CYMA IV Getting Started Guide November 2010 CYMA Systems, Inc. 2330 West University Drive, Suite 4 Tempe, AZ 85281 (800) 292-2962 Fax: (480) 303-2969

More information

General Ledger Updated December 2017

General Ledger Updated December 2017 Updated December 2017 Contents About General Ledger...4 Navigating General Ledger...4 Setting Up General Ledger for First-Time Use...4 Setting Up G/L Parameters...5 Setting the G/L Parameters...6 Setting

More information

NorthStar Club Management System

NorthStar Club Management System NorthStar Club Management System The Version 3.2.0 GL- 03252008 March 25, 2008 CONTENTS OVERVIEW OF THE GL (GENERAL LEDGER) MODULE... 5 ACCESSING THE GL MODULE... 6 GL INTRODUCTION:... 8 Inquiry... 8 Admin...

More information

LESSON 10 Accounts Payable Setup

LESSON 10 Accounts Payable Setup LESSON 10 Learning Objectives In this lesson you will: 1. activate the module 2. access the A/P Transactions Visual Process Flow 3. set up the Options 4. enter account sets 5. enter distribution codes

More information

RDS ADVANTAGE FAST CHECK TUTORIAL

RDS ADVANTAGE FAST CHECK TUTORIAL RDS ADVANTAGE FAST CHECK TUTORIAL Complementing the original RDS Advantage check payment process is the abbreviated payment entry program, Fast Check. This easily mastered, no frills approach enables even

More information

v Update Release Notes

v Update Release Notes v5.10.2000 Update Updated: 10/27/2010 2010 Shelby Systems, Inc. All Rights Reserved Other brand and product names are trademarks or registered trademarks of the respective holders. Release Version v5.10.2000

More information

CYMA IV. Accounting for Windows. Bank Reconciliation Training Guide. Training Guide Series

CYMA IV. Accounting for Windows. Bank Reconciliation Training Guide. Training Guide Series CYMA IV Accounting for Windows Training Guide Series Bank Reconciliation Training Guide December 2015 CYMA Systems, Inc. 2330 West University Drive, Suite 4 Tempe, AZ 85281 (800) 292-2962 Fax: (480) 303-2969

More information

v Update Release Notes

v Update Release Notes Release Notes v5.11.1000 Update Updated: 07/14/2011 2011 Shelby Systems, Inc. All Rights Reserved Other brand and product names are trademarks or registered trademarks of the respective holders. Release

More information

Disassembly of the CertiflexDimension software is also expressly prohibited.

Disassembly of the CertiflexDimension software is also expressly prohibited. All content included in CertiflexDimension programs, manuals and materials generated by the programs are the property of The Versatile Group Inc. (TVG) and are protected by United States and International

More information

MV Advanced Features Overview. MV Advanced Features Workshop: Steps: 1. Logon to Multiview 1. Username: MANAGER 2. Password: manager 3.

MV Advanced Features Overview. MV Advanced Features Workshop: Steps: 1. Logon to Multiview 1. Username: MANAGER 2. Password: manager 3. MV Advanced Features Workshop: Ever wonder what some of the screens actually do in Multiview? Well this is the session for you! During this handson session, we'll explore some of the little used but very

More information

BUSINESS BANKING ONLINE. Deskside User Guide

BUSINESS BANKING ONLINE. Deskside User Guide BUSINESS BANKING ONLINE Deskside User Guide INTRODUCTION TO BUSINESS BANKING ONLINE Business Banking Online (BBOL) offers our business customers both large and small the tools and features needed to manage

More information

Online Banking Procedures

Online Banking Procedures Table of Contents Online Banking Procedures... 2 1.1 Sign into Online Banking- No Token...2 1.2 Sign into Online Banking- Token...3 1.3 Change Account Nickname...5 Stop Payments... 7 1.4 New Stop Payments...7

More information

Nexsure Training Manual - Accounting. Chapter 13

Nexsure Training Manual - Accounting. Chapter 13 Tax Authority In This Chapter Tax Authority Definition Reconciling Tax Authority Payables Issuing Disbursement for Tax Authority Payables Paying the Tax Authority Prior to Reconciling Tax Authority Definition

More information

Vendor Maint/Reports Menu Vendor Inquiry/Reports MUNIS Version 7

Vendor Maint/Reports Menu Vendor Inquiry/Reports MUNIS Version 7 Module: Topic: Accounts Payable Vendor Maint/Reports Menu Vendor Inquiry/Reports MUNIS Version 7 Objective This document gives you step by step instructions for using the Vendor Inquiry/Reports program

More information

Juris Year-End Checklist

Juris Year-End Checklist Juris Year-End Checklist 1 Table of Contents Before You Begin... 3 Year-End Closing for Firm Accounting... 3 Find and Post Unposted Batches... 3 Ensure You Don t Have Open Pre-Bills Dated the Year Being

More information

Welcome to our online Web Help for the Activity Fund Accounting System software.

Welcome to our online Web Help for the Activity Fund Accounting System software. Welcome to our online Web Help for the Activity Fund Accounting System software. Version 1.2 LOCAL GOVERNMENT CORPORATION ALL RIGHTS RESERVED 2010-2018 REV. 02/06/2018 Portions copyright 1988 - Acucorp,

More information

RG Connect 2015 Microsoft Dynamics GP Tips and Tricks October Prepared by Sheri Carney

RG Connect 2015 Microsoft Dynamics GP Tips and Tricks October Prepared by Sheri Carney RG Connect 2015 Microsoft Dynamics GP Tips and Tricks October.23.2015 Prepared by Sheri Carney 600 SW 39 th Street, Suite 250 Renton, WA 98057 425.277.4760 www.resgroup.com Contents GLOBAL TIPS... 4 1.

More information

The TxEIS How To Guide Series. Business. How to: CLOSE END OF FISCAL YEAR. Developed by the TEXAS COMPUTER COOPERATIVE

The TxEIS How To Guide Series. Business. How to: CLOSE END OF FISCAL YEAR. Developed by the TEXAS COMPUTER COOPERATIVE The TxEIS How To Guide Series Business How to: CLOSE END OF FISCAL YEAR Developed by the TEXAS COMPUTER COOPERATIVE Copyright 2016 by Texas Computer Cooperative All rights reserved 1314 Hines Avenue San

More information

Subsidiary Ledger Report. Click on the Financials menu and select: A. General Ledger Menu D. End of Period C. Subsidiary Ledgers

Subsidiary Ledger Report. Click on the Financials menu and select: A. General Ledger Menu D. End of Period C. Subsidiary Ledgers Subsidiary Ledger Report Click on the Financials menu and select: A. General Ledger Menu D. End of Period C. Subsidiary Ledgers 1 Subsidiary Ledger Report The screen should appear like below: 2 Subsidiary

More information

Lockbox. Chapter 13. Lockbox Integration Setup. Nexsure Training Manual - Admin. In This Chapter

Lockbox. Chapter 13. Lockbox Integration Setup. Nexsure Training Manual - Admin. In This Chapter Lockbox In This Chapter Lockbox Integration Setup Notification Setup Accounting Setup Invoice Defaults Setup Territory Level Lockbox Sestup Lockbox Exceptions Handling Lockbox Integration Setup Lockbox

More information

NCLTEC Accounting User Manual

NCLTEC Accounting User Manual NCLTEC Accounting User Manual Latest Update: Feb 6, 0 For information about customer support, please visit our homepage at http://www.ncltec.com on the World Wide Web. Copyright 05 NCL Energy Technology

More information

Version 4.62 or Later. Copyright 2013 Interactive Financial Solutions, Inc. All Rights Reserved. ProviderPro System Administration Guide.

Version 4.62 or Later. Copyright 2013 Interactive Financial Solutions, Inc. All Rights Reserved. ProviderPro System Administration Guide. Version 4.62 or Later Copyright 2013 Interactive Financial Solutions, Inc. All Rights Reserved. ProviderPro System Administration Guide. This manual, as well as the software described in it, is furnished

More information

Financials Module: General Ledger

Financials Module: General Ledger The Priority Enterprise Management System Financials Module: General Ledger Contents Introduction... 2 Chart of Accounts... 2 Entry Journal... 4 Reconciliations... 7 Financial Statements... 9 Cash Flow...

More information

What s New List for Version 18 of Tabs3, PracticeMaster, and Tabs3 Financial Software

What s New List for Version 18 of Tabs3, PracticeMaster, and Tabs3 Financial Software What s New List for Version 18 of Tabs3, PracticeMaster, and Tabs3 Financial Software Date-Based Reports Highlights All period-based reports in Tabs3 Billing are now date based, which means they can be

More information

ShelbyNext Financials: General Ledger Special Reports (Hands On)

ShelbyNext Financials: General Ledger Special Reports (Hands On) ShelbyNext Financials: General Ledger Special Reports (Hands On) [Course F133] Presented by: Bill Ballou Shelby Training Manager 2018 Shelby Systems, Inc. Other brand and product names are trademarks or

More information

Sterling Virtual Terminal. User Guide

Sterling Virtual Terminal. User Guide Sterling Virtual Terminal User Guide Version 3.1.00 August 2015 Chapter 1: Getting started Table of Contents USER GUIDE... 1 CHAPTER 1: GETTING STARTED... 5 SYSTEM REQUIREMENTS... 5 STERLING VIRTUAL TERMINAL

More information

6. Vendor Maintenance

6. Vendor Maintenance 6. Vendor Maintenance Table of Contents Vendor Maintenance... 2 Direct Pay Info... 7 History... 8 Accounts... 10 Del Move... 11 Click on 6. Vendor Maintenance from the Main Menu and the following window

More information

Program Revision List Maintenance Release Version v

Program Revision List Maintenance Release Version v Program Revision List Maintenance Release Version v5.6.1005 The following are modifications made to the Shelby v5 programs between 5.6.1000 and 5.6.1005. Items in blue with a shaded background are Enhancements

More information

7/6/05 University of Maine System Financials. University of Maine System Financials. Accounts Payable

7/6/05 University of Maine System Financials. University of Maine System Financials. Accounts Payable University of Maine System Financials Page 1 Table of Contents PART I: BASIC CONCEPTS... 4 A. Introduction to... 4 1. Contents of this Manual... 4 2. Processes in... 4 3. Terminology... 5 B. Using the

More information

CALCASIEU PARISH SCHOOL BOARD SCHOOL ACTIVITY FUNDS EPES ACCOUNTING PROCEDURES MANUAL

CALCASIEU PARISH SCHOOL BOARD SCHOOL ACTIVITY FUNDS EPES ACCOUNTING PROCEDURES MANUAL CALCASIEU PARISH SCHOOL BOARD SCHOOL ACTIVITY FUNDS EPES ACCOUNTING PROCEDURES MANUAL START UP 4 Log in 4 Main Screen 5 Exit 5 UTILITIES 5 Preferences 5 Change Password 7 Year End Closing 7 View Prior

More information

Reports in QuickBooks

Reports in QuickBooks QuickBooks Online Student Guide Chapter 11 Reports in QuickBooks Chapter 2 Chapter 11 In this chapter, you ll learn how QuickBooks helps you find information in your business. Lesson Objectives In this

More information

PROMAS Landmaster. Questions and Answers. Questions below. Questions with answers begin on page 5. Questions

PROMAS Landmaster. Questions and Answers. Questions below. Questions with answers begin on page 5. Questions PROMAS Landmaster Questions and Answers Questions below. Questions with answers begin on page 5 Questions NAVIGATION Q. How can I keep the find list active? Q. I received an email from fishcatcher27@gmail.com.

More information

What s New List for Version 19 of Tabs3, PracticeMaster, and Tabs3 Financial Software

What s New List for Version 19 of Tabs3, PracticeMaster, and Tabs3 Financial Software What s New List for Version 19 of Tabs3, PracticeMaster, and Tabs3 Financial Software Billing PracticeMaster Financials All Tabs3 & PracticeMaster Software Highlights New Look - Includes larger font, new

More information

If you want to specify the account code itself, there are several ways to enter the code:

If you want to specify the account code itself, there are several ways to enter the code: Guidelines ENTERING ACCOUNT CODES There are a number of ways to enter account codes. You can enter: account codes If an Account Code is locked in the CSIU Fund Accounting application, it typically cannot

More information

Express365 Accounting User Manual

Express365 Accounting User Manual Express365 Accounting User Manual August 05 Latest Update: 9 th October 08 P a g e 46 For information about customer support, please visit our homepage at http://www.express365.com.my on the World Wide

More information

Vendor Inquiry and Reports Munis Version 11.2

Vendor Inquiry and Reports Munis Version 11.2 Objective This document gives you step by step instructions for using the Vendor Inquiry/Reports program to query the vendor master table for information regarding a specific vendor(s) and how to produce

More information

1099M Processing - Let Skyward Print Your 1099Ms Manual

1099M Processing - Let Skyward Print Your 1099Ms Manual 1099M Processing - Let Skyward Print Your 1099Ms Manual Terminology Configurations Setup Processing Step 1 Enter/Verify Payer Setup Parameters Step 2 Create/Modify/Report 1099M Work file Step 2 Part 1

More information

University of Wisconsin System SFS Business Process AP.2.05 Voucher Maintenance

University of Wisconsin System SFS Business Process AP.2.05 Voucher Maintenance Contents Voucher Maintenance Process Overview... 1 Process Detail... 1 I. Identifying and Correcting Unpaid Vouchers with Combo Edit Errors or In Recycle Status... 1 II. Deleting Vouchers... 2 III. Unposting

More information

Microsoft Dynamics GP. Localization Chile

Microsoft Dynamics GP. Localization Chile Microsoft Dynamics GP Localization Chile Copyright Copyright 2010 Microsoft. All rights reserved. Limitation of liability This document is provided as-is. Information and views expressed in this document,

More information

O N L I N E B A N K I N G C A S H M A N A G E M E N T End-User Guide

O N L I N E B A N K I N G C A S H M A N A G E M E N T End-User Guide ONLINE BANKING CASH MANAGEMENT End-User Guide TABLE OF CONTENTS LogIn Process...1 Company Login... 1 Cash User Login... 3 Cash Management User Single Sign On... 4 Navigation...5 Account Listing Page...6

More information

How to Enter Credit Card Transactions and Scan Receipts

How to Enter Credit Card Transactions and Scan Receipts How To Updated: 06/29/2011 2011 Shelby Systems, Inc. All Rights Reserved Other brand and product names are trademarks or registered trademarks of the respective holders. Entering a charge transaction into

More information

Training Manual for ProTrav Upper Level Administrative Users

Training Manual for ProTrav Upper Level Administrative Users University of Northern Iowa Training Manual for ProTrav Upper Level Administrative Users Office of Business Operations 103 Gilchrist 319-273-2162 Direct any questions to protrav@uni.edu Updated February

More information

Echinacea Release Notes

Echinacea Release Notes Echinacea Release Notes Sandbox: July, 2018 Production: September, 2018 At-a-Glance New Features and Enhancements highlights: Archiving Transactions to save on data storage Improved styling of Financial

More information

Financial Management 1099 Processing Year-End Update Guide

Financial Management 1099 Processing Year-End Update Guide Financial Management 1099 Processing - 2016 Year-End Update Guide December 20, 2016 2016 Tyler Technologies. All Rights Reserved. All rights reserved. Information within this document is the sole property

More information

Accounts Receivable. Billing Functions. Establishing House Accounts

Accounts Receivable. Billing Functions. Establishing House Accounts 18 The billing functionality in FTD Mercury allows you to set up an automated billing system, complete with aging cycles, finance charges, and statements for your customers. You can bill your customers

More information

Online Banking Quick Reference Guide

Online Banking Quick Reference Guide Online Banking Quick Reference Guide Sign-On to Online Banking On the initial Sign-On page, sign on to online banking as follows: 1. Type your ID in the SIGN ON ID field. Note: If you cannot remember your

More information

Chapter 10. Administration

Chapter 10. Administration Chapter 10 Administration This Page Left Blank Intentionally CTAS User Manual 10-1 Administration: Introduction The Admin section is where you enter your local government s required and optional system

More information

Consumer Banking User Guide. Transferring Funds

Consumer Banking User Guide. Transferring Funds Consumer Banking User Guide Transferring Funds Contents Managing transfers... 3 Transfer funds... 3 Viewing transfers... 4 Canceling a transfer... 4 Setting up external transfer accounts... 5 Adding an

More information

Employer Self Service (ESS) User Quick Guide

Employer Self Service (ESS) User Quick Guide Employer Self Service (ESS) User Quick Guide i Table of Contents Getting Started 6 Accessing the Employer Self Service (ESS) Portal 6 Maintaining Account Settings 7 Switching Employers within Session 7

More information

Chapter 1 - Overview of Works Features Account Spending Account Funding Spend Reconciliation Card Control...

Chapter 1 - Overview of Works Features Account Spending Account Funding Spend Reconciliation Card Control... Works User s Guide Works Table of Contents Chapter 1 - Overview of Works Features... 12 Account Spending...12 Account Funding...12 Spend Reconciliation...13 Card Control...13 Real-Time Reporting...13 About

More information

This product is the proprietary material of CheckCare Enterprises, LLC. And is not to be distributed or copyrighted without written permission from

This product is the proprietary material of CheckCare Enterprises, LLC. And is not to be distributed or copyrighted without written permission from CheckCare ACH Gateway Reference Secure Pay Edition This product is the proprietary material of CheckCare Enterprises, LLC. And is not to be distributed or copyrighted without written permission from CheckCare

More information

Table of Contents. Chapter 1: Installation Hardware Requirements... 1 Special Setup for Windows Vista... 1

Table of Contents. Chapter 1: Installation Hardware Requirements... 1 Special Setup for Windows Vista... 1 Table of Contents Chapter 1: Installation Hardware Requirements... 1 Special Setup for Windows Vista... 1 Chapter 2: Moving around in the program Menu... 4 Toolbar... 6 Chapter 3: Setup Setting up a Company...

More information

BUSINESS ADVANTAGE USER GUIDE

BUSINESS ADVANTAGE USER GUIDE Table of Contents Getting Started... Account Summary...5 Navigation Tools...6 Account History...8 Quick Reference Guide...9 Frequently Asked Questions... Need Help?... Getting Started. Visit.. In the Online

More information

Tenrox 2015 R1 Great Plains Integration Guide

Tenrox 2015 R1 Great Plains Integration Guide Tenrox 2015 R1 Great Plains Integration Guide Copyright 2017 by Upland Software. All rights reserved. Table of Contents About this Tenrox and Great Plains Integration Guide...5 About this Tenrox and Great

More information

Tabs3, PracticeMaster, and the pinwheel symbol ( trademarks of Software Technology, Inc. Portions copyright Microsoft Corporation

Tabs3, PracticeMaster, and the pinwheel symbol ( trademarks of Software Technology, Inc. Portions copyright Microsoft Corporation Tabs3 General Ledger Software Reseller/User Tutorial Version 16.1 for November 2011 Sample Data Copyright 1983-2013 Software Technology, Inc. 1621 Cushman Drive Lincoln, NE 68512 (402) 423-1440 http://www.tabs3.com

More information

Munis Account Central

Munis Account Central Munis Account Central Procedural Documentation For more information, visit www.tylertech.com. Accounts The Accounts option provides access to the Account Central program. This program offers an overview

More information

CASH MANAGEMENT User Guide

CASH MANAGEMENT User Guide CASH MANAGEMENT User Guide Login Process... 4 Logging On for the First Time... 4 Company Administrator Activities... 8 Creating New Cash Users... 8 Resetting Cash User Password... 12 Modifying Cash User

More information

User s Guide. (Virtual Terminal Edition)

User s Guide. (Virtual Terminal Edition) User s Guide (Virtual Terminal Edition) Table of Contents Home Page... 4 Receivables Summary... 4 Past 30 Day Payment Summary... 4 Last 10 Customer Transactions... 4 View Payment Information... 4 Customers

More information

An Integrated Solution for Nonprofits

An Integrated Solution for Nonprofits An Integrated Solution for Nonprofits 100411 2011 Blackbaud, Inc. This publication, or any part thereof, may not be reproduced or transmitted in any form or by any means, electronic, or mechanical, including

More information

Intercompany Postings

Intercompany Postings Intercompany Postings for Microsoft Dynamics GP 9 to GP 2015 Install and User Guide Page 1 of 75 Contents Contents... 2 Fea ture Summary... 4 Setup... 6 Install... 6 Setup... 6 Upgrades... 8 Overview...

More information

Business Online Banking

Business Online Banking First State Community Bank Business Online Banking End User Guide Table of Contents Logging In... 3 Navigation... 5 Account Activity Options... 7 Transactions... 8 Transfers... 9 Stop Payments...10 Statements...12

More information

PATRONAGE / EQUITY USER'S GUIDE

PATRONAGE / EQUITY USER'S GUIDE PATRONAGE / EQUITY USER'S GUIDE This document is non-technical and explains the operation of the Patronage / Equity programs. It is intended for both accounting staff and operators. COPYRIGHT 2017 AgTrax

More information

Importing a Journal Entry

Importing a Journal Entry Importing a Journal Entry WebSmart by JR3 has enhanced the journal entry process. What s New? History tab At a glance, this new feature logs a date/time stamp, the action performed and the user responsible

More information

WinGL General Ledger Users Guide

WinGL General Ledger Users Guide WinGL General Ledger Users Guide Documentation Manual Date: August 2011 wingl Table of Contents wingl Table of Contents... 2 General Information... 6 Purpose... 6 Getting Started with wingl... 6 Applications

More information

L E S S O N 1 Lesson objectives

L E S S O N 1 Lesson objectives L E S S O N 1 Lesson objectives To gain an overview of the course and the topics to be covered To know how QuickBooks works and how you can get around in QuickBooks To learn common business terms used

More information

NOTE: You may see an Adjusting Period 998. It is not used in Local Council Systems. Fiscal Software User s Guide, BSA

NOTE: You may see an Adjusting Period 998. It is not used in Local Council Systems. Fiscal Software User s Guide, BSA Section 5 General Ledger This Section Includes: 5.1 Accounting Periods 5.2 Ledgers 5.3 Open and Closed Periods 5.3.1 Processing a Period Close or Opening a Period 5.4 Creating Journals 5.4.1 General Journals

More information

Eagle SSE. Accounts Receivable. Quick Reference Guide

Eagle SSE. Accounts Receivable. Quick Reference Guide Eagle SSE Accounts Receivable Quick Reference Guide This manual contains reference information about software products from Activant Solutions Inc. The software described in this manual and the manual

More information

MYOB Advanced Business

MYOB Advanced Business MYOB Advanced Business AP Payment Processing Improvements Last Updated: 22 January 2016 Contents AP Payment Processing Improvements 1 Background... 1 1. Matching multiple AP payments to one bank transaction...

More information

What's New in General Ledger Munis - Financials: General Ledger

What's New in General Ledger Munis - Financials: General Ledger [MU-FN-4-F] [MU-FN-10-E] What's New in General Ledger Munis - Financials: General Ledger CLASS DESCRIPTION This session will highlight some of the new functionality available in the version 11.2 of the

More information

CYMA IV. Accounting for Windows. System Manager Training Guide. Training Guide Series

CYMA IV. Accounting for Windows. System Manager Training Guide. Training Guide Series CYMA IV Accounting for Windows Training Guide Series System Manager Training Guide December 2015 CYMA Systems, Inc. 2330 West University Drive, Suite 4 Tempe, AZ 85281 (800) 292-2962 Fax: (480) 303-2969

More information

Evolution M Core Training Contract, Sales & Cash Book Issue 2

Evolution M Core Training Contract, Sales & Cash Book Issue 2 Evolution M Core Training Contract, Sales & Cash Book Issue 2 Contents Training............................................................................................ 1 Contract Ledger........................................................................................

More information

2 New Company Setup OBJECTIVES:

2 New Company Setup OBJECTIVES: 2 New Company Setup In Chapter 2 of Accounting Fundamentals with QuickBooks Online Essentials Edition, you will learn how to use the software to set up your business. New Company Setup includes selecting

More information

WinTen² Accounts Payable

WinTen² Accounts Payable WinTen² Accounts Payable Preliminary User Manual User Manual Edition: 3/16/2005 Your inside track for making your job easier! Tenmast Software 132 Venture Court, Suite 1 Lexington, KY 40511 www.tenmast.com

More information

RELEASE NOTES: FEBRUARY 23, 2016

RELEASE NOTES: FEBRUARY 23, 2016 RELEASE NOTES: 2.16.01 FEBRUARY 23, 2016 Highlights from this release Report Criteria Favourites Change Name on WO/LOT/INV with blend Save report criteria so you can run it the same way next time. Read

More information

T.H.O. Software Solutions Software solutions for non-profit organizations

T.H.O. Software Solutions Software solutions for non-profit organizations ORION Year End Processing 1 of 30 The changes in the Employee FICA rate will be included in this update. NO CHANGES are required to the FICA rate field in the Agency record. -----------------------------------------------------------------------------------

More information

The Real-time Data Sync feature for DonorCentral 4 is included with the FIMS upgrade.

The Real-time Data Sync feature for DonorCentral 4 is included with the FIMS upgrade. FIMS 14.20 Release Notes Upgrade Overview This document contains brief summaries of the new features included in FIMS version 14.20. Fund Statement Designer A new System Integrity Report Real-time Sync

More information

HCSS Accounting Release Notes Central Functionality V1.7

HCSS Accounting Release Notes Central Functionality V1.7 HCSS Accounting Release Notes Central Functionality V1.7 Page 1 1. Central Admin Functionality Phase1 of the Central functionality has been released. Once activated this includes Central Payments and Central

More information

Juris Year-End Checklist 2011

Juris Year-End Checklist 2011 Juris Year-End Checklist 2011 Page1 Checklist for 2011 The only year-end processing required in Juris is Firm Accounting and Disbursements. This Firm Accounting Close Accounting Year function does the

More information

EPO Online Fee Payment. Online Help. Copyright European Patent Office All rights reserved

EPO Online Fee Payment. Online Help. Copyright European Patent Office All rights reserved EPO Online Fee Payment Online Help Copyright European Patent Office All rights reserved Last Update: 12/03/2009 Document Version: EPO_OnlineFeePayment_EN_090312.doc Table of Contents 1 Online Fee Payment

More information

BBVA Compass Spend Net Payables

BBVA Compass Spend Net Payables User Guide BBVA Compass Spend Net Payables User Guide Vault Services Table of Contents Introduction 2 Technical Requirements 2 Getting started 3 Sign In 3 General Navigation 4 Upload/Create Payment 5

More information