Creating an Offline Journal Using a Template

Size: px
Start display at page:

Download "Creating an Offline Journal Using a Template"

Transcription

1 Creating an Offline Journal Using a Template This Addy Note explains how to create a journal using an offline journal template in Microsoft Excel 2010 and When you have completed creating the journal offline, you can upload it into UCF Financials (see the Addy Note Uploading a Journal Created from a Template). Step 1. Locate and delete any previous journal template files. Normally, you should delete two files: UCFJournalTemplate_Prod.xlsm and JRNLMCRO.xlam. (The spelling or capitalization may vary slightly.) The files may be located in a folder called Journal Template Files (as in the below image), but the folder could have another name. Note: For new users, create a folder on your computer titled Journal Template Files. Addy Note_Creating an Offline Journal Using a Template Page 1 of 11

2 2. Navigate to Helpful Resources on the Financials Support Services website. Scroll down to Journal Resources for the workstation setup files. Note: The setup files were update in June of 2016 to reflect changes to UCF Financials due to the 9.2 upgrade. Setup files loaded to your computer prior to that date must be deleted and replaced using the current files as described in the next steps. 3. Right-click the file UCF JournalTemplate Prod.xlsm. 4. Select Save Target As. Addy Note_Creating an Offline Journal Using a Template Page 2 of 11

3 5. Locate the folder you created in Step 1 and double-click it. 6. Verify the file extension ends in.xlsm and click Save. Note: If the file extension differs from.xlsm, change it to.xlsm. If you need assistance, contact the UCF Financials Service Desk at (407) , option Click Close. 8. Repeat Steps 3-8 for the other file Jrnlmcro.xlam. This time, however, verify that the extension is.xlam. 9. Double-click UCFJrounalTemplate Prod.xlsm. The offline journal template opens. Addy Note_Creating an Offline Journal Using a Template Page 3 of 11

4 10. Click the Crosswalks & SpeedTypes button. This ensures your template has the most current Account, Department, and Project values. Perform this step each time you use the template to create a journal. 11. Click OK on the dialogue box confirming that the Crosswalks & SpeedTypes have been updated. 12. Click the Setup button. Addy Note_Creating an Offline Journal Using a Template Page 4 of 11

5 13. In the Date field, enter the current date. 14. Enter your myucf user name in the User ID field. 15. Click OK. Addy Note_Creating an Offline Journal Using a Template Page 5 of 11

6 16. Click New. 17. Enter the name of the journal using the following naming convention: XXXXMMDD01. These numbers represent the first four digits of your department or project, the month, day, and two-digit sequence number. Note: If you are creating more than one journal in the same day, be sure to change the sequence number of the new journal or the new journal will overwrite your older one. 18. Click OK. Addy Note_Creating an Offline Journal Using a Template Page 6 of 11

7 19. Click the Add New icon (+) under Journal Header. 20. Replace the Journal ID NEXT with the one you created using the naming convention in Step The User ID field should have auto-populated. If not, enter your NID into the User ID fields. 22. Enter a description in 254 characters or less in the Description field that: Begins by identifying who is sending the journal (using the first initial of your first and complete last name; for example, JDoe for John Doe). Explains what the journal is and why you created it. Note: Do not use any symbol, such as \ / : *? < >. Addy Note_Creating an Offline Journal Using a Template Page 7 of 11

8 23. Click OK. 24. Click the Add New icon under Journal Lines. 25. Enter the appropriate Account number. 26. Tab over to the Alt Account field using the Tab key on your keyboard. 27. Click the Alt Account button. This will display the values in the Unit, Ledger, and Alt Account fields. Addy Note_Creating an Offline Journal Using a Template Page 8 of 11

9 28. Enter the DeptID/Project. Note: Department numbers go in the left section of the column while Project number go in the right. 29. Tab over to the Speed Types field using the Tab key on your keyboard. If you entered a DeptID, the following fields will auto-populate with the values that are correct for that department number: Fund Program If you entered a Project (as in the example below, the following fields will autopopulate with the values that are correct for that project number and for the expense account code you entered in Step 25 above: PC BU Activity Fund Program Analysis Addy Note_Creating an Offline Journal Using a Template Page 9 of 11

10 30. Enter your first amount in the Amount field. 31. Now repeat Steps 24 to 30, but now enter an offsetting* amount in the Amount field. Continue this pattern until you have added all lines required for this journal. *Note: Your journal entries must net to zero so your journal balances. 32. Click the Run Total button to do the following: Verify that all entries net to zero and that your journal balances. Round all entries to two decimal places. This allows you to save your completed journal. 33. Under File, select Save As to save the document in Excel. Addy Note_Creating an Offline Journal Using a Template Page 10 of 11

11 34. Change the name of your document before saving it so that it does not overwrite the template file. Use the name you provided in Step 17. To upload your journal into UCF Financials, review the Addy Note Uploading a Journal Created from a Template. Addy Note_Creating an Offline Journal Using a Template Page 11 of 11

PeopleSoft Finance System: Step by Step Guide Creating Journal Entries

PeopleSoft Finance System: Step by Step Guide Creating Journal Entries In the PeopleSoft Finance System, there is a central navigation path for all journal entry types, regardless if the journal entry is an actual journal entry, a budget journal entry, etc. Step 1. On the

More information

UNIVERSITY OF CENTRAL FLORIDA Finance & Accounting Offline Journal Entry

UNIVERSITY OF CENTRAL FLORIDA Finance & Accounting Offline Journal Entry UNIVERSITY OF CENTRAL FLORIDA Finance & Accounting Offline Journal Entry Overview The Spreadsheet Journal Entry feature facilitates rapid data entry using Microsoft Excel giving you the ability to arrange

More information

Finance Area: General Ledger Process: Create and Approve Spreadsheet Journal Prepared by: Andrea Rodgers Updated: September 29, 2017

Finance Area: General Ledger Process: Create and Approve Spreadsheet Journal Prepared by: Andrea Rodgers Updated: September 29, 2017 Create and Approve Spreadsheet Journal Finance Area: General Ledger Process: Create and Approve Spreadsheet Journal Prepared by: Andrea Rodgers Updated: September 29, 2017 Work Instruction Purpose There

More information

General Procedure for Approving PCard Charges

General Procedure for Approving PCard Charges General Procedure for Approving PCard Charges PCard Approvers must follow a general procedure when approving a cardholder s charges. Use the procedure only when the PCard charges comply with the following

More information

Budget Spreadsheet Journal Entry

Budget Spreadsheet Journal Entry This job aid serves three purposes: 1. To provide a training tool for the user to follow the step by step instructions of the full Budget Journal Upload Process. 2. To assist the user in selecting and

More information

Creating a Journal Entry

Creating a Journal Entry 1. Begin by navigating to the Main Menu. Click the General Ledger menu. 2. Click the Journals menu. 3. Click the Journal Entry menu. 4. Click the Create/Update Journal Entries menu. 5. Business Unit will

More information

Spreadsheet Journal Entry

Spreadsheet Journal Entry This job aid serves two purposes: 1. To assist the user in selecting and entering the correct Ledger Group and Ledger values for non-budget spreadsheet journals. Note: A separate job aid is available to

More information

Instruction Guide. Entering a Managerial Budget Using the Excel Spreadsheet

Instruction Guide. Entering a Managerial Budget Using the Excel Spreadsheet Entering a Managerial Budget Using the Excel Spreadsheet Manager Budget Spreadsheet import requires three files to be downloaded from the General Accounting website at http://www.fa.ufl.edu/forms-and-publications/forms/.

More information

OMNI BI Reporting Training

OMNI BI Reporting Training Training Running Departmental Ledgers (CG, CAP, CS) Overview: Understanding Running Departmental Ledgers Process for Sponsored Research, Cost Share, and Capital Projects Departments: The Departmental Ledgers

More information

Ledger Period Comparison Inquiry

Ledger Period Comparison Inquiry Ledger Period Comparison Inquiry This inquiry compares, for any ChartField combination selected, expenditures by account across the selected periods of a fiscal year. A report may be created by downloading

More information

E-IT Look-up Tools and Reports

E-IT Look-up Tools and Reports This manual will demonstrate how to look up and open current and past E-ITs and will also show how an IT initiator can run a formatted report for individual ITs Look-up Tools Default Org Approvers, Plus

More information

North Dakota University System. ConnectND Finance 9.0. Spread sheet journal import job aid

North Dakota University System. ConnectND Finance 9.0. Spread sheet journal import job aid North Dakota University System ConnectND Finance 9.0 Spread sheet journal import job aid On occasion you may use a spreadsheet application such as Excel to calculate amounts for large Journal Entries (i.e.

More information

MaineStreet Financials 8.4

MaineStreet Financials 8.4 MaineStreet Financials 8.4 General Ledger Excel Journal Entry 1 Overview A Journal Entry is used to update the General Ledger for many types of transactions, including cash receipts, transfers of revenue

More information

GENERAL LEDGER STANDARD JOURNAL ENTRY. 3. Procedure In the Financial Management dropdown, select the Journals function in the Journals submenu.

GENERAL LEDGER STANDARD JOURNAL ENTRY. 3. Procedure In the Financial Management dropdown, select the Journals function in the Journals submenu. Procedure # GL - 1 General Ledger Standard Journal Entry Created By Emily Krambs 7/20/09 Revised By Donald Hein 1/8/14 Approved By GENERAL LEDGER STANDARD JOURNAL ENTRY 1. General Journal entries are used

More information

SUBJECT: UHCL Journal Entry Workflow Training Page 1 of 40

SUBJECT: UHCL Journal Entry Workflow Training Page 1 of 40 SUBJECT: Page 1 of 40 General Ledger Journal Entry training is done in FSTST environment. In this training, we will create a deposit journal entry. To proceed with the training, follow the steps below:

More information

Upload Excel to a BFS Temporary Budget Journal

Upload Excel to a BFS Temporary Budget Journal Enterprise Systems Solutions Quick Reference Guide Upload Excel to a BFS Temporary Budget Journal In this example, we will upload a Temporary Budget Journal spreadsheet into BFS. Because of the complexity

More information

COPYRIGHT & TRADEMARKS

COPYRIGHT & TRADEMARKS COPYRIGHT & TRADEMARKS Copyright 1998, 2009, Oracle and/or its affiliates. All rights reserved. Oracle is a registered trademark of Oracle Corporation and/or its affiliates. Other names may be trademarks

More information

Payroll Expenditures by Employee

Payroll Expenditures by Employee Payroll Expenditures by Employee Updated: January, 2014 Portal Page 1 1. The UCF Portal can be accessed at http://my.ucf.ed u 2. Your login ID is your PID (if you do not know your PID you can click the

More information

JOURNAL ENTRY GENERAL LEDGER USER MANUAL Chapter 6

JOURNAL ENTRY GENERAL LEDGER USER MANUAL Chapter 6 JOURNAL ENTRY GENERAL LEDGER USER MANUAL Chapter 6 The Spectrum System PeopleSoft Financials Version 7.5 1. INTRODUCTION... 3 1.1. USE OF THE GENERAL LEDGER JOURNAL ENTRIES... 3 2. HOW TO ENTER A JOURNAL

More information

State of Oklahoma COR121 Deposit Entry Manual Revised: October 1, 2007

State of Oklahoma COR121 Deposit Entry Manual Revised: October 1, 2007 State of Oklahoma COR121 Deposit Entry Manual Authorized by: [_CORE_] Original Issue: [11/01/2003] Maintained by: [ General Ledger Lead ] Current Version: [10/01/2007] Review Date: [01/31/2008] COR121

More information

SPREADSHEET JOURNAL UPLOAD

SPREADSHEET JOURNAL UPLOAD SPREADSHEET JOURNAL UPLOAD TABLE OF CONTENTS Overview... 2 Step 1: Prepare Journal for Uploading... 2 Step 2: Load the Journal into PeopleSoft... 10 Step 3: Additional Tasks to Complete After the Journal

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

Entering GL Journal Entries

Entering GL Journal Entries Journal entries (JEs) are used to transfer/reclassify expenses from one account or object code to another. UAB FN Document Entry/Approval General Ledger: Journals Enter Creating a New Batch 1. The Enter

More information

Entering GL Journal Entries

Entering GL Journal Entries Journal entries (JEs) are used to transfer/reclassify expenses from one account or object code to another. UAB FN Document Entry/Approval General Ledger: Journals Enter Creating a New Batch 1. The Enter

More information

PeopleSoft FMS Training Manual. General Ledger v8.9 Training Manual

PeopleSoft FMS Training Manual. General Ledger v8.9 Training Manual PeopleSoft FMS Training Manual General Ledger v8.9 Training Manual Table of Contents Journal Entry Entering Journal Header Information Entering Journal Line Information Specifying Journal Entry Totals

More information

Getting Comfortable with PeopleSoft Navigation

Getting Comfortable with PeopleSoft Navigation FMS120,, FMS714, FMS721 Getting Comfortable with Navigation The purpose of this guide is to explain the general layout of the pages and provide explanations of commonly used navigational buttons and links.

More information

Review Financial Information - Ledger Inquiry Step 1

Review Financial Information - Ledger Inquiry Step 1 Step 1 View ledger detail and summary information based on selected criteria. The example below shows how to run the report for a capital project. Screen shots at the end show the criteria to use to run

More information

University of North Dakota PeopleSoft Finance Tip Sheets. Journal Inquiry

University of North Dakota PeopleSoft Finance Tip Sheets. Journal Inquiry How do I inquire on a Journal? Navigation: >General Ledger >Review Financial Information >Journals You can use the menu on the left or you can use the folders on the main screen to navigate to the. Following

More information

5.0 Journal Processing

5.0 Journal Processing 5.0 Journal Processing Chapter at a glance: 5.1 Standard Journals 5.2 Inquiring on Standard Journals 5.3 Submitting Standard Journals 5.1 Standard Journals Defining Ledgers A ledger is a set of posted

More information

Excel Template Instructions for the Glo-Brite Payroll Project (Using Excel 2010 or 2013)

Excel Template Instructions for the Glo-Brite Payroll Project (Using Excel 2010 or 2013) Excel Template Instructions for the Glo-Brite Payroll Project (Using Excel 2010 or 2013) T APPENDIX B he Excel template for the Payroll Project is an electronic version of the books of account and payroll

More information

In this example, we will prepare a Pre-Encumbrance to indicate commitments for our graduate student researchers' salary.

In this example, we will prepare a Pre-Encumbrance to indicate commitments for our graduate student researchers' salary. Enterprise Systems Solutions Quick Reference Guide Prepare a Pre-Encumbrance Journal In this example, we will prepare a Pre-Encumbrance to indicate commitments for our graduate student researchers' salary.

More information

EPiSERVER Content Management System

EPiSERVER Content Management System Last Updated: 11/05/2014 Refreshable/Rotator Hero Slider Blocks EPiSERVER Content Management System A Refreshable Hero Slider is created and housed in the Global Components Folders within the department

More information

Create Journal Entry to record prepaid expenses paid through expense reports

Create Journal Entry to record prepaid expenses paid through expense reports 1. Prepaid Expenses Definition: Prepaid expenses are expenses that have been paid in advance. They are costs that have been paid but have not yet been used up or have not yet expired. 3. Prepaid Expense

More information

SMART JOURNAL MANUAL 9.2

SMART JOURNAL MANUAL 9.2 SMART JOURNAL MANUAL 9.2 Table of Contents Smart Journal Entry... 3 Smart ERP Gadgets... 7 2 Smart Journal Entry Introduction Smart Journal is a tool that facilitates the cash transfer process for those

More information

Budget Reports for All Users

Budget Reports for All Users Budget Reports for All Users Table of Contents: How to Open the MBI - Budgeting Cost Center & Rollup Report..2 How to Open the MBI - Budget Excel Format Cost Center & Rollup Report...7 How to open a TSV

More information

This job aid details the process for reviewing GL Balances with the Account Inspector.

This job aid details the process for reviewing GL Balances with the Account Inspector. OVERVIEW This job aid details the process for reviewing GL Balances with the Account Inspector. NAVIGATING TO THE ACCOUNT INSPECTOR Use the following process to navigate to the Account Inspector (Inquire

More information

MaineStreet Financials 8.4. General Ledger

MaineStreet Financials 8.4. General Ledger MaineStreet Financials 8.4 General Ledger Excel Journal Entry General Ledger Page 1 of 47 Excel Journal Entry TABLE OF CONTENTS 1. PEOPLESOFT FINANCIALS GENERAL LEDGER... 4 2. EXCEL JOURNAL ENTRY PROCESS...

More information

Consolidate Trial Balances

Consolidate Trial Balances Consolidate Trial Balances Introduction If you need to combine separately maintained data files to prepare a consolidated tax return or financial statement, you can use the Consolidate Trial Balances option

More information

University of Wisconsin System SFS Business Process GL.1.02 Custom SQRs to Load Journals. Contents. Business Process Overview.

University of Wisconsin System SFS Business Process GL.1.02 Custom SQRs to Load Journals. Contents. Business Process Overview. Contents Business Process Overview... 1 Process Detail... 1 I. Initial One-time Setup... 1 II. Different SQR Journal Upload Types... 1 III. Create Flat File from SQR Journal Upload Spreadsheet... 2 IV.

More information

AiM CPPM Capital Project

AiM CPPM Capital Project AiM Navigation icons Budget Manager Date Manager Budget Revision screen is the main source of information on a project. is the central hub to which all other transactions will be associated. How to enter

More information

Approve or verify a cardholder s PCard statements in myufl with the following steps:

Approve or verify a cardholder s PCard statements in myufl with the following steps: OVERVIEW Approve or verify a cardholder s PCard statements in myufl with the following steps: 1. Navigate to the Reconciliation Statements Search page 2. Leave the Role Name dropdown blank 3. Search for

More information

Final Accounts Online Introduction

Final Accounts Online Introduction 1 Final Accounts Online Introduction Final Accounts Online is available to Sage One Accountants Edition users. It will allow you to compile a full set of IFRS for SME s compliant Annual Financial Statements

More information

CalPlan. Creating a Unit Plan Navigating CalPlan Workbook 1/25/18

CalPlan. Creating a Unit Plan Navigating CalPlan Workbook 1/25/18 CalPlan Creating a Unit Plan Workbook 1/25/18 Table of Contents Exercise 1: Log into the Workspace & Run a CalPlan Report... 3 Exercise 2: Launching CalPlan and Setting Your Entity... 10 Exercise 3: Actualized

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

CSV WHAT IS IT? This document provides the answers to the following questions: For which Cognos report(s) do I request the 'CSV' version?

CSV WHAT IS IT? This document provides the answers to the following questions: For which Cognos report(s) do I request the 'CSV' version? CSV WHAT IS IT? This document provides the answers to the following questions: What is 'CSV'? For which Cognos report(s) do I request the 'CSV' version? Where do I select the CSV version of GL008? What

More information

Telemet IQ. Telemet Orion s Microsoft Excel Add-In

Telemet IQ. Telemet Orion s Microsoft Excel Add-In Telemet IQ Telemet Orion s Microsoft Excel Add-In Executive Summary Telemet puts research, analytics and real-time market data at your fingertips. Telemet IQ, bundled with the Telemet Orion investment

More information

OMNI AR/Billing: Using the Accrual Ledger Detailed Business Process Guides AACRUAL1

OMNI AR/Billing: Using the Accrual Ledger Detailed Business Process Guides AACRUAL1 OMNI AR/Billing: Using the Accrual Ledger Detailed Business Process Guides AACRUAL1 Beginning FY17, select departmental auxiliaries will have direct access to the accrual ledger to record the recognition

More information

Journal Entry Management. Speaker Name Job Title, Company

Journal Entry Management. Speaker Name Job Title, Company Journal Entry Management Speaker Name Job Title, Company 1 Course Objectives Open and run a Journal Entry Management (JEM) default template. Customize a JEM default template, publish and run. Use a Transaction

More information

CORPORATE ACCOUNT RECONCILIATION. SAM2CAR: Key Functions Manual for Program Administrators

CORPORATE ACCOUNT RECONCILIATION. SAM2CAR: Key Functions Manual for Program Administrators CORPORATE ACCOUNT RECONCILIATION SAM CAR SAM2CAR: Key Functions Manual for Program Administrators May 2012 2 How to Use This Manual This manual is designed to serve as a reference guide to help you perform

More information

Mid-Year PEIMS Collection 2 Finance Reporting Prior Year data. Organization - Overview

Mid-Year PEIMS Collection 2 Finance Reporting Prior Year data. Organization - Overview Mid-Year PEIMS Collection 2 Finance Reporting Prior Year data Mid-Year PEIMS Collection 2 is a report of actual financial data for the prior school year. The collection will include the following records:

More information

Uploading Files to WorldClass

Uploading Files to WorldClass Uploading Files to WorldClass The move from web-classrooms to WorldClass, and eventually the migration to the new Learning Management System requires a slightly different approach to adding and managing

More information

Instruction Guide. Completing an Upload Budget Transfer

Instruction Guide. Completing an Upload Budget Transfer Completing an Upload Budget Transfer The Upload Budget Transfer process allows you to: Process multi-line budget transfers more easily and efficiently Reduce the amount of time spent within myufl Reduce

More information

Making an entry into the CIS Payments workbook

Making an entry into the CIS Payments workbook Making an entry into the CIS Payments workbook By now you should have carried out the CIS Payments workbook Setup. If you have not done so you will need to do this before you can proceed. When you have

More information

Submitting a Form 11 using the ROS Offline Application

Submitting a Form 11 using the ROS Offline Application Submitting a Form 11 using the ROS Offline Application To work on your Form 11 offline you must use the ROS Offline Application. Instructions on how to install the ROS Offline Application are available

More information

iphone ios 8.x (4s, 5, 5s & 5c, 6, 6+ models) ipad ios 8.x (all models) Android OS or higher

iphone ios 8.x (4s, 5, 5s & 5c, 6, 6+ models) ipad ios 8.x (all models) Android OS or higher OVERVIEW The ADF Desktop Integration template is used in the Projects module and General Ledger module for uploading journal entries. After the new version of Oracle is completed, you will be prompted

More information

Chartfields and Combo Edits...39 Viewing ChartField Definitions...40 SBCTC COA Design (1/15/2016)...43 ChartField Value Sets...44

Chartfields and Combo Edits...39 Viewing ChartField Definitions...40 SBCTC COA Design (1/15/2016)...43 ChartField Value Sets...44 GENERAL LEDGER Table of Contents - 03... 3 Using the GL WorkCenter - 03... 4 Building Summary Ledgers 03b...28 Monthly Mass Closing of Sub-modules and - 03...33 Monthly Closing of Sub-Modules and - 03...36

More information

Running OMNI Departmental Ledgers Created on 2/27/2013 5:25:00 PM

Running OMNI Departmental Ledgers Created on 2/27/2013 5:25:00 PM Running OMNI Departmental Ledgers Created on 2/27/2013 5:25:00 PM Table of Contents Running OMNI Departmental Ledgers... 1 Page ii Running OMNI Departmental Ledgers Overview: Understanding Running OMNI

More information

CREATE A JOURNAL USING A JOURNAL FORM

CREATE A JOURNAL USING A JOURNAL FORM OVERVIEW This job aid details the process of adjusting non sponsored revenue from General Ledger to Projects. NON SPONSORED FUNDING ADJUSTMENT DETAILS Revenue Adjustment Type Adjust revenue from GL to

More information

PEOPLESOFT TIPS. TABLE OF CONTENTS Overview... 3 Navigate PeopleSoft... 3

PEOPLESOFT TIPS. TABLE OF CONTENTS Overview... 3 Navigate PeopleSoft... 3 PEOPLESOFT TIPS TABLE OF CONTENTS Overview... 3 Navigate PeopleSoft... 3 Main Menu in PeopleSoft... 3 Sort the Main Menu... 3 Cascading Menu... 5 Breadcrumb Trail Menu... 6 Search... 7 Searches: Maximum

More information

PeopleSoft Upgrades Delta Training Session

PeopleSoft Upgrades Delta Training Session PeopleSoft Upgrades Delta Training Session Session Objectives: Understand what s changed Highlight differences that users need to know about Highlight new functionality that users can use if desired Show

More information

PAC Bank Functions. Page 1 of 17

PAC Bank Functions. Page 1 of 17 PAC Bank Functions Page 1 of 17 PAC Bank Functions This section includes instructions on performing banking functions like bank reports, fund transfers, checks, etc. Table of Contents Create Bank Report...

More information

PEOPLESOFT TIPS. TABLE OF CONTENTS Background... Error! Bookmark not defined. Navigate PeopleSoft... 3

PEOPLESOFT TIPS. TABLE OF CONTENTS Background... Error! Bookmark not defined. Navigate PeopleSoft... 3 PEOPLESOFT TIPS TABLE OF CONTENTS Background... Error! Bookmark not defined. Navigate PeopleSoft... 3 Main Menu in PeopleSoft... 3 Sort the Main Menu... 3 Change the Default Sort Order... 5 Cascading Menu...

More information

Tutorial for Loading and Updating ERP Template

Tutorial for Loading and Updating ERP Template The ERP demonstration portal shows an overview of your company s key indicators, enabling executive and strategic management of the transactional data stored in your ERP. Before upgrading the ERP portal

More information

This job aid details the process of transferring and/or adjusting non sponsored revenue from General Ledger to Projects. Example

This job aid details the process of transferring and/or adjusting non sponsored revenue from General Ledger to Projects. Example OVERVIEW This job aid details the process of transferring and/or adjusting non sponsored revenue from General Ledger to Projects. REVENUE TRANSFER AND ADJUSTMENT DETAILS Revenue Adjustment Type Transfer

More information

These materials may not be reproduced in whole or in part without the express written permission of The University of Akron.

These materials may not be reproduced in whole or in part without the express written permission of The University of Akron. Table of Contents Chapter 1 : Overview...1-1 Chapter 2 : Definitions...2-1 ChartFields...2-1 Accounting and Budget Periods...2-3 Budgetary Control...2-3 Chapter 3 : Sign In and Sign Out...3-1 Sign In to

More information

Uploading Journal Entries from Excel

Uploading Journal Entries from Excel Uploading Journal Entries from Excel Using Excel, you may create journal entries for upload to the AS400. The uploaded entries may add to an existing batch of journal entries, overwrite an existing batch,

More information

This job aid details the process of transferring and/or adjusting non sponsored revenue from Projects to Projects. Example

This job aid details the process of transferring and/or adjusting non sponsored revenue from Projects to Projects. Example OVERVIEW This job aid details the process of transferring and/or adjusting non sponsored revenue from Projects to Projects. REVENUE TRANSFER AND ADJUSTMENT DETAILS Revenue Adjustment Type Transfer Revenue

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

PCGenesis Financial Accounting and Reporting (FAR) System Operations Guide Section L: General Ledger Account Processing Topic 3: PCGenesis and FASgov

PCGenesis Financial Accounting and Reporting (FAR) System Operations Guide Section L: General Ledger Account Processing Topic 3: PCGenesis and FASgov PCGenesis Financial Accounting and Reporting (FAR) System Operations Guide Topic 3: PCGenesis and FASgov Capital Asset Processing, Version 1.1 Revision History Date Version Description Author 07/11/2006

More information

MultiSite Suite: General Ledger

MultiSite Suite: General Ledger MultiSite Suite: General Ledger User s Manual version 2.2.97 Copyright & Trademarks Copyright Notice and Trademarks 2003 by Brent Lawrence, LLC. All rights reserved. Reprinted and edited by MultiSite Systems,

More information

Release Please distribute to all Spectra users in your company.

Release Please distribute to all Spectra users in your company. Release 8.2.0.2 JANUARY 2019 Please distribute to all Spectra users in your company. Support Email: support@spectra.ca Visit us online at: www.spectra.ca Support Telephone: (866) 718-2345 Support Fax:

More information

Quick Trial Balance Pro - Consolidate Trial Balances. Introduction

Quick Trial Balance Pro - Consolidate Trial Balances. Introduction Introduction If you need to combine separately maintained data files to prepare a consolidated tax return or financial statement, you can use the Consolidate Trial Balances option in the File menu. Page

More information

PEACHTREE COMPLETE 2009 WORKSHOP 1 THE ATLAS COMPANY

PEACHTREE COMPLETE 2009 WORKSHOP 1 THE ATLAS COMPANY PEACHTREE COMPLETE 2009 WORKSHOP 1 THE ATLAS COMPANY Journalizing, Posting, General Ledger, Trial Balance, and Chart of Accounts In this workshop you learn to post general journal entries in Peachtree

More information

Financials: nvision Financial Reports User s Guide

Financials: nvision Financial Reports User s Guide Financials: nvision Financial Reports User s Guide Revised May 2009 TABLE OF CONTENTS SOLAR Financials User s Guide... 3 Who Do I Call For Help?... 3 SOLAR nvision Reporting Tools... 4 Available Reports...

More information

PeopleSoft Financial Training Manual. General Ledger 8.4 Additional Topics. Chartfield / Tree Design Web-based nvision Reporting Allocations

PeopleSoft Financial Training Manual. General Ledger 8.4 Additional Topics. Chartfield / Tree Design Web-based nvision Reporting Allocations PeopleSoft Financial Training Manual General Ledger 8.4 Additional Topics Chartfield / Tree Design Web-based nvision Reporting Allocations Table of Contents Chartfield / Tree Design Chartfields and Tree

More information

Microsoft Word - Templates

Microsoft Word - Templates Microsoft Word - Templates Templates & Styles. Microsoft Word come will a large amount of predefined templates designed for you to use, it is also possible to download additional templates from web sites

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

Expense Transfer Journal Module: FTS Transfers. Table of Contents

Expense Transfer Journal Module: FTS Transfers. Table of Contents Expense Transfer Journal Module: FTS Transfers Table of Contents Overview... 2 Access to FTS Transfers Module... 2 Training... 2 Backup Documentation... 2 Email Notification... 2 Accounting Services...

More information

Enhancements Included in the Wisdom Accounting Suite Software Version

Enhancements Included in the Wisdom Accounting Suite Software Version Enhancements Included in the Wisdom Accounting Suite Software Version 12.3.1 This document lists the enhancements and program corrections in this new release of the accounting software. Listed below are

More information

Basic Query for Financials

Basic Query for Financials Basic Query for Financials Log into PeopleSoft Financials: Open browser Go to: https://cubsfs.clemson.edu/psp/fpprd Enter your Novell ID and Password Click Sign In Navigation into Query Tools: Select Reporting

More information

Creating Actuals Journals Using NUFinancials

Creating Actuals Journals Using NUFinancials NUIT Administrative Systems Creating Actuals Journals Using Journals record the effects of financial transactions on Northwestern University s ledger. This training guide explains how to create, update,

More information

Including Accounts Receivable, Budget Planning and Equipment Register. Revision History Enhancements in FMS

Including Accounts Receivable, Budget Planning and Equipment Register. Revision History Enhancements in FMS FMS 6.148 Including Accounts Receivable, Budget Planning and Equipment Register Contents Revision History... 2 Enhancements in FMS 6.148... 2 Clear Supplier Catalogue... 2 Issues Resolved in FMS 6.148...

More information

FORMS. The Exciting World of Creating RSVPs and Gathering Information with Forms in ClickDimensions. Presented by: John Reamer

FORMS. The Exciting World of Creating RSVPs and Gathering Information with Forms in ClickDimensions. Presented by: John Reamer FORMS The Exciting World of Creating RSVPs and Gathering Information with Forms in ClickDimensions Presented by: John Reamer Creating Forms Forms and Surveys: When and What to Use them For Both Allow you

More information

Steps in Ledger Upload and Preparation. Click on Add-ins > Q&A xl > Logon > Enter User ID (e.g. TBW) and click OK (Users of Office 2007)

Steps in Ledger Upload and Preparation. Click on Add-ins > Q&A xl > Logon > Enter User ID (e.g. TBW) and click OK (Users of Office 2007) Steps in Ledger Upload and Preparation Click on Add-ins > Q&A xl > Logon > Enter User ID (e.g. TBW) and click OK (Users of Office 2007) Click on Data Send For an existing profile or pre-mapped upload Click

More information

Nextgen Bank Reconciliation

Nextgen Bank Reconciliation Nextgen Bank Reconciliation Presented by: Carol Newton Resource 2014 Bank Reconciliation Menu Financial Management Bank Reconciliation Import Bank Statements Bank Account Transactions Export Checks Import

More information

UMHS Financial Systems Workspace & Smart View Templates

UMHS Financial Systems Workspace & Smart View Templates Level 1 Password https://findatamgr.dsc.umich.edu/workspace/index.jsp What If I have a blank Homepage? Utilize the Use Current Page button to set the Home Page. Why do I not see the Preview User Point

More information

ADD/EDIT A JOURNAL ENTRY

ADD/EDIT A JOURNAL ENTRY ADD/EDIT A JOURNAL ENTRY 1. In Intacct, journal entries are posted into specific journals, which function to categorically separate different types of journal entries. Journal entries can post to any of

More information

BAIRS Training. Ty Johnson Elise Woods Kris Leonardo Meilin Huang FY 2015 rev. 5/26/15

BAIRS Training. Ty Johnson Elise Woods Kris Leonardo Meilin Huang FY 2015 rev. 5/26/15 BAIRS Training Ty Johnson Elise Woods Kris Leonardo Meilin Huang FY 2015 rev. 5/26/15 BAIRS 11 Training Session Agenda Introduction of participants (10 minutes) Brief summary of session objective (5 minutes)

More information

NYLearns Curriculum Administration:

NYLearns Curriculum Administration: NYLearns Curriculum Administration: Creating a Curriculum Map May 2014 2 This page left intentionally blank 3 Contents Signing in to NYLearns... 4 Curriculum Mapping... 6 Creating Curriculum Maps... 7

More information

BOCES Phase 1 Overview

BOCES Phase 1 Overview ClassLink ClassMate 2012-13 BOCES Phase 1 Overview An Overview of How ClassMate Software will help your school to comply with NYSED s New SIRS Requirements Our technical staff will be working closely with

More information

OneUSG Benefit Reconciliation User s Guide

OneUSG Benefit Reconciliation User s Guide OneUSG Benefit Reconciliation User s Guide Office of Information and Instructional Technology Version 1 Last Updated: 02-05-2019 Page 1 BENEFIT ACCOUNTING PROCESS FLOW......3 HR ACCOUNTING LINE VALIDATION...

More information

Procurement VIP User s Manual 2003

Procurement VIP User s Manual 2003 Procurement VIP User s Manual 2003 Table of Contents Learning Objectives... 3 Introduction to Yale VIP... 4 Browser Settings Internet Explorer 6.0... 5 Browser Settings Netscape 4.79... 7 Accessing the

More information

The Journal Entry Flat File Submission Process

The Journal Entry Flat File Submission Process There are a number of ways to enter journal entries into PeopleSoft. In addition to keying a journal entry directly using the journal entry interface, authorized users may prepare a flat file of journal

More information

PROJECTS...3 CONVERSION...3 INSTALLATION...3 DATABASES...3 TIME AND EXPENSE...7 ISSUES...3 DOCUMENT PROPERTIES...3 ACCOUNTS RECEIVABLE...

PROJECTS...3 CONVERSION...3 INSTALLATION...3 DATABASES...3 TIME AND EXPENSE...7 ISSUES...3 DOCUMENT PROPERTIES...3 ACCOUNTS RECEIVABLE... 2013 What s New PROJECTS...3 Project Management... Options...3 CONVERSION...3 INSTALLATION...3 DATABASES...3 ISSUES...3 DOCUMENT PROPERTIES...3 COMPANY PROFILE...4 Tax Rates...4 Project...4 Contact...4

More information

System Process Document Reverse Group Transactions. Department Responsibility/Role File Name. Reverse Group Transactions Trigger:

System Process Document Reverse Group Transactions. Department Responsibility/Role File Name. Reverse Group Transactions Trigger: Department Responsibility/Role File Name Reverse Group Transactions_SPD_20150217110422 Revision Document Generation Date Date Modified Last Changed by sbrock 2.17 Status sent for review 2.17 2/17/2015

More information

Creating a New Expense Report from My Concur Homepage

Creating a New Expense Report from My Concur Homepage Creating a New Expense Report from My Concur Homepage Expense Tab will take you to the Expense Module Active Work Pane where you can click on New Expense Report Log into Gibson Online to access your My

More information

Managing Company Policy

Managing Company Policy Managing Company Policy End users with Manage Company Policy rights can manage the Company Policy on behalf of the company. The Company Policy can be edited, but never deleted. Company administrators with

More information

There are two aspects to the interface between BankLink Practice and Concept Cash Manager:

There are two aspects to the interface between BankLink Practice and Concept Cash Manager: Concept Cash Manager There are two aspects to the interface between BankLink Practice and Concept Cash Manager: Copying a chart from Concept Cash Manager into BankLink Practice Transferring transactions

More information

Table of Contents. OTC End-of-Month Local Revenue Disbursements Balt City DC

Table of Contents. OTC End-of-Month Local Revenue Disbursements Balt City DC Table of Contents PROCESSING LOCAL REVENUE DISBURSEMENTS... 2 STEP 1: Verify Data... 2 STEP 2: Create Local Revenue Bills... 3 STEP 3: Run the Billing Interface... 5 STEP 4: Run Disbursement Reports...

More information

Create Transfer Journal

Create Transfer Journal Create Transfer Journal 1. Log into Workday, then in the search field, type Create Journal. 2. Click Create Journal in the search results. 4. In the Accounting Date field, select the Accounting Date by

More information