1. MAINTAINING VENDOR INFORMATION

Size: px
Start display at page:

Download "1. MAINTAINING VENDOR INFORMATION"

Transcription

1 1. MAINTAINING VENDOR INFORMATION OVERVIEW: This document will demonstrate how to enter and maintain vendors in PeopleSoft 8.4. STEP 1: ENTER IDENTIFYING INFORMATION NAVIGATION: Vendors>Vendor Setup/Maintenance>Vendor Information On the Vendor Information page (Figure 1), click on the Add a New Value tab. Figure 1 Select a SetID and leave Vendor ID as NEXT to allow the system to assign the next available value. Click Add to display the vendor information pages. 1. MAINTAINING VENDOR INFORMATION 1

2 The Identifying Information page (Figure 2) is displayed. Figure 2 Enter/select the available information. All fields with an asterisk (*) are required. ShortName - Serves as an alternate search key to access vendor data. If you enter BELL as the short name, the system will make the short name BELL-001 to create a unique short name. HR Class Only required if you select HRMS (human resources management system) as the classification for this vendor. This information is used by PeopleSoft. Select one of the following: Garn Pay: Garnishment Payee Gen Deduct: General Deductions Gen Prov: General Provider Ins Prov: Insurance Provider Nat l Prov: National Provider Part Prov: Partner Provider Tax Col : Tax Collector Status - Select one of the following: Approved: If you have permission to approve vendors, the system automatically assigns a status of Approved to the vendor. Inactive: You cannot enter new vouchers for this vendor. To Archive: The vendor will be purged from the system and you can not enter new vouchers. Unapproved: Another user with the proper authority needs to approve the vendor before users can enter vouchers for this vendor. Persistence Select one of the following: 1. MAINTAINING VENDOR INFORMATION 2

3 One-Time: Only one voucher will be entered for this vendor, after which the vendor status will change to Inactive. Permanent: The vendor will always remain in the system even if there is no activity by the As of Date in a Vendor Archive Request. Users can enter unlimited number of vouchers for this vendor. Regular: The vendor can be removed from the system by the Vendor Archive Request process if there is no activity for a designated period. Users can enter unlimited number of vouchers for this vendor. Withholding If you will be entering withholding or 1099 information for this vendor, select this checkbox. Open for Ordering Select to designate the vendor open for purchasing goods and services. If this field is unchecked, users will be unable to enter purchase orders for this vendor. InterUnit Vendor Mark the checkbox and select a business unit associated with this vendor. Next, click on the Additional ID Numbers link located at the bottom of the page. Additional ID Numbers page will be displayed (Figure 3). Figure 3 Use this page to enter additional IDs associated with the vendor. These IDs are not used elsewhere in the system. Customer ID Select if this vendor is also a customer in Receivables. Our Customer Number Enter the number by which this vendor identifies you as a customer. Enter additional IDs, such as a Tax Identification Number or a Dun & Bradstreet Number, by first selecting the Type. To enter more than one type of ID, click the to insert additional input rows. Click OK to return to the Identifying Information page. 1. MAINTAINING VENDOR INFORMATION 3

4 The Duplicate Invoice Settings link contains options that are the same as those defined by the PeopleSoft Payables module for the business unit. Ignore this link to accept the defaulted options for this vendor. Click the link to override them. Click on the Government Classifications link. The information on this page (Figure 4) will be used for reporting purposes. Enter the requested/available information: Figure 4 EEO Certification Date Equal Employment Opportunity Certification Date. Not Required. HUB Zone Historically Underutilized Business Zone. Source Select the vendor s certification source. You must provide a source before entering the Government Classifications information. Enter the remaining Government Classifications information. To add more sources, click the to the right of the Source field. To add an additional effective-dated row for a source, click the located to the right of the Eff Date field. The previously effective-dated row is stored as historical data for the source. Click OK to return to the Identifying Information page. 1. MAINTAINING VENDOR INFORMATION 4

5 STEP 2: ENTER ADDRESS INFORMATION Click on the Address tab (Figure 5). Figure 5 Each vendor must have at least one valid address before the vendor can be saved into the system. You can enter multiple addresses with multiple effective-dated rows for each address. Explanation of some fields: Descr Enter a description for the address (i.e. MAIN, ORDERING, RETURNING, etc.) and select an Addr Type for this address. A valid address in USA or CAN must consist of Address1, City, and State/Province. Addresses in other countries require Address1 and a City. If you leave Address1 blank, but enter information in the Address2 line, the address is still considered incomplete. ID This is the address that the process uses when you select the dispatch method of in PeopleSoft. Separate multiple addresses with a semicolon.. 1. MAINTAINING VENDOR INFORMATION 5

6 Click on the Payment/Withholding Alternate Names link. Figure 6 Use this page (Figure 6) to enter names/information that should replace the vendor name (specified in the Name1 field on the Identifying Information page) on payment forms and/or withholding reports. If these fields are populated, the information will be used. Otherwise, the name specified in the Name1 field will be used. Click OK to return to the Address page. Next, click on the Telephone link and enter phone number(s) for the vendor (Figure 7). Figure 7 Click OK to return to the Address page. 1. MAINTAINING VENDOR INFORMATION 6

7 To insert another complete address for the vendor, click the instructions above. at the Vendor Address level and repeat the To insert another effective-dated row for an address (for example, when the MAIN address changes) click the at the Address Detail level. Select the date when the address becomes effective and enter the rest of the information. You must re-enter Payment/Withholding Alternate Names and Telephone information, if necessary. Repeat until all addresses for the vendor are entered. STEP 3: ENTER LOCATION INFORMATION A vendor location is different from a vendor address. The location represents a set of rules or attributes which define how you conduct business with a particular vendor. It stores important information, such as the vendor s ordering and invoicing addresses, bank accounts and payment options. However, like the address, a vendor can have multiple locations and multiple effective-dated rows for each location. Click on the Location tab to display the Location page (Figure 8). Enter the following fields: Figure 8 Location Represents the identifying field for this location. It can be used to differentiate between a vendor s multiple locations. Examples: 001, 002, MAIN, etc. Descr Description for this location. 1. MAINTAINING VENDOR INFORMATION 7

8 Default Check to designate this location as the default location. A vendor can have only one default location. The defaulted location will default onto all the vouchers for the vendor, but can be changed when desired. Next, click Save. This will allow you to use the addresses just entered on the Address page in establishing a vendor location. Hitting Save stores the vendor information in the system and results in the vendor being assigned a Vendor ID. Since the vendor information is saved into the system, you can continue now or complete the rest of the vendor setup later. If you choose to continue later, record the Vendor ID and/or ShortName, and follow these 5 steps to return to this spot when ready: 1. Navigate to: Vendors>Vendor Setup/Maintenance>Vendor Information 2. On the Find an Existing Value tab, enter the Vendor ID or ShortName 3. Check the Correct History box 4. Click Search 5. Click on the Location tab Continue with the remaining location information: Eff Date Effective date for the location must be the same as or after the effective date for an address in order for the address to be used in the location. Pricing Location PeopleSoft uses the shipping method associated with this Pricing Location. Doc Type Default Select to use the default document sequencing options established at the business unit level. The document type defaults onto any vouchers for this vendor. Doc Type Specify Select to override the default values and enter a new one. Ordering Address The address PeopleSoft uses when ordering from this location. Invoicing Address Address from which the vendor location sends invoices. Remitting Vendor Vendor to whom you remit payment associated with this location. The remitting vendor can be this vendor or another vendor. Remitting Location Address for remitting payments. Returning Vendor Vendor to whom you return goods for this location. To enter bank information for this location, where payments will be sent, click on the Bank Accounts link. 1. MAINTAINING VENDOR INFORMATION 8

9 On the Pay to Bank Accounts page (Figure 9), enter the available information. Depending on the country you select, the fields displayed on the page will vary: Figure 9 First, click the Search button to see if the bank has already been entered into the system. On the Search Bank page, enter/select a Bank ID and/or Branch ID. If the bank exists in the system, click OK, otherwise, click Cancel to return to the Pay to Bank Accounts page. Enter rest of the bank information: Default Check to designate this bank account as the default bank account for this location. The default bank account is copied to each payment schedule for this vendor. Descr Enter a description for the bank. Bank ID Qual Bank ID Qualifier contains country-specific numeric value by which the bank/counterparty is identified. Bank ID Field is required. Bank Account Number Field is required. 1. MAINTAINING VENDOR INFORMATION 9

10 DFI Qualifier Depository Financial Institution Qualifier. Enter a value if you will be making ACH or EFT payments to this vendor location. DFI ID If DFI Qualifier is populated, you must supply the bank s DFI ID number as well. IBAN Digit International Bank Account Number check digit. To enter Address information for the bank, click on the envelope icon ( corner. ) located in the left-hand To enter telephone information for the bank, click on the telephone icon ( corner. ) located in the left-hand To enter intermediary bank routing information, in cases where the payment travels between multiple banks before the funds are transferred, click on the bank icon ( ) located in the left-hand corner. To enter additional banks for this location, click the and repeat the above steps. Once all the bank information has been entered, click OK to return to the Location page. To setup Electronic Fund Transfer information for this location, click on the EFT Options link. EFT Payment Options page (Figure 10) is displayed. Figure MAINTAINING VENDOR INFORMATION 10

11 Before a vendor can be paid through EFT, the vendor EFT setup must be confirmed. There are two ways to confirm a vendor for an EFT payment option. One is to specify the number of days to wait before the vendor becomes eligible for an EFT payment in the EFT Pre-Note Auto Confirmation group box on the Set Controls Vendor page. When the specified number of days passes, the system automatically confirms the vendor for EFT payment. The other option is to manually confirm a vendor for EFT payment using the Pre-Notification group box on the EFT Payment Options page. Prenotification Required Select if you want to send a test transaction to the bank for this vendor. A prenote will be included for this vendor location in the next Pay Cycle that includes an EFT payment for this vendor location s default bank account. Once the pre-note is generated, the Status field is changed to Pending and the Date field is populated with the date the pre-note was created. If the pre-notification box is checked, you can not generate an actual EFT payment for this vendor until it is marked as Confirmed. Confirm Click to manually confirm the vendor location for EFT payment, and override any autoconfirmation options established on the Set Controls- Vendor page. The Status field changes to Confirmed and Date field is populated with today s date. Unconfirm Click the unconfirm button to set the status to New again and generate another pre-note. Enter information under Fund Transfer Details: Crossed Check Select to indicate that the check cannot be endorsed to another party. Transaction Handling Indicate to the bank what information to include in the EFT file. Correspondent s Costs Use if an intermediary bank is involved in the transfer. Bank Check Drawn On If needed, indicate which bank actually writes the check. Checking Forwarding If needed, indicate to whom the check should go to. Payment Instruction 1-4 Select standard EFT instructions to be sent to the bank with the EFT request. Payment Instruction Ref Include additional EFT handling instructions for the bank. Bank Charge Options fields are used to define the person to whom the bank transfer charge amount is charged. If the Transfer Cost Code is Payer, the bank transfer charge process is not activated and no accounting entries for the transfer charge are generated. If the code is Payee, then enter the remaining information to complete the process. Click OK to return to the Location page. The Matching link contains options for Voucher Approval, voucher-purchase order matching, and Evaluated Receipt Settlement (ERS). To accept the voucher approval and matching options set at the business unit level, skips this link. To override the defaulted values or to enter ERS options, click the link and enter the request information. 1. MAINTAINING VENDOR INFORMATION 11

12 Click on the Payment Options link. On the Payment Options page (Figure 11), you can define/override some of the information that has been setup already. Figure 11 Payment Control group box: Hold Payment Select to automatically place any payments on hold for this vendor location. Payments will not be processed until the box is unchecked. Complex Routing Select this checkbox to inform the system to use the Intermediary Bank Routing information setup for EFT payment. Separate Payment Select to create separate payments for each of the vouchers for the vendor that are processed in the same pay cycle. Bank group box: 1. MAINTAINING VENDOR INFORMATION 12

13 Use the fields in the Bank group box to define a bank from which you want to make payments for this vendor location. This will override the default bank already setup. To enter the bank information, select Specify from the drop-down and populate the remaining fields. Payment Method group box: Select a payment method for this location vendor. If you have setup EFT payment options, select Specify and then Electronic Funds Transfer from the list. Enter any additional information that is applicable. Click OK to return to the Location page. Click on the Procurement Options link to display the Procurement Options page (Figure 12). Figure 12 Most of the options on this page have already been setup. To override these options at the vendor location level, select Specify for the appropriate field and then enter the requested information. Freight Term Code The freight terms determine the point at which liability for a shipment shifts from the seller to the buyer. They also define the terms of a payment for freight, such as when it is payable and by whom. Shipping Method The shipping method you select appears on the purchase order and can affect pricing. Buyer Enter a preferred buyer for this vendor. The Buyer defaults onto the purchase order created for this vendor, but can be overridden. 1. MAINTAINING VENDOR INFORMATION 13

14 Payment Terms ID Select payment terms for this location. You can also define which date the system uses as the terms basis date for scheduling payments and determining early payment discounts. This information is contained in the Basis Dt Type field. Enter any additional information that is applicable. Click OK to return to the Location page. The RTV Options link contains return to vendor options. Click the link if you would like to setup these options, otherwise ignore. Click on the Sales/Use Tax Options link. The options on this page (Figure 13) can be accepted as their defaulted values or overridden at the location level. Figure 13 Sales/Use Tax Applicability Select one of the following: None: No tax defaults for this location Sales: Sales tax is the default tax type on all vouchers for this location Use: Use tax is the default tax type on all vouchers for this location Ship To Location Selecting the Ship To value will automatically populate the Tax Destination. If the Tax Destination is different (i.e. Goods are shipped to one location by the vendor where are inspected, but then sent to another location for use), indicate the right Tax Destination. The fields in the Sales Tax Tolerance box allow you to set tolerances for differences in sales tax entered on a voucher header and that calculated by the system. Click OK to return to the Location page. 1. MAINTAINING VENDOR INFORMATION 14

15 The Self-Billed Invoice Info link is required in Europe for vendors who utilize Evaluated Receipt Settlement. Click the link if applicable, otherwise, ignore. Click on the Withholding Setup link. If reporting 1099 withholding information, use the 1099 page to enter the withholding information (discussed in Step 5). On the Withholding Vendor Information (Figure 14), a field with an asterisks (*) next to it indicates a required field. Figure 14 Main Information Tab: Entity Select the entity to which the withholding amounts are reported. This is the tax authority. You can define more than entity for vendor location. (The fields on these next few pages will vary depending on the entity that is selected). Jurisdiction Field indicates where the vendor is located or where there transaction took place. Default Jur Select the default jurisdiction. This box can be checked for more than row, but must be checked for at least one row, otherwise, the withholding defaults are not copied to the invoice. 1. MAINTAINING VENDOR INFORMATION 15

16 Rule- If Rule Indicator field is Specify, select a value. The withholding rules indicate the action to be taken during withholding. Withhold Select this checkbox to activate withholding. Next, click on the Hold/Condition tab. This page (Figure 15) pulls some of the fields from the Main Information tab. Figure 15 Hold Payment Select a value if Hold Pay Ind field is Specify: Hold Both: Hold both payments and the withholding information. No Hold: Do not hold payments for this vendor. Wthd Only: Hold only the withholding amount. Wthd Condition Some vendors have special privileges that allow them to have less withholding than other vendors. Select a value: Exempt: Vendor is completely exempt. The Percent field contains Enter the date in the Valid Until field until which the exemption applies. Exonerate: The vendor is withheld less than other vendors. Enter the exoneration percentage in the Percent field. Enter the Valid Until date as well. None: Vendor is not entitled to any exemption or exoneration. No need to populate the Percent or Valid Until fields. 1. MAINTAINING VENDOR INFORMATION 16

17 Next, click on the Remit tab. The common fields from the previous two tabs are displayed again (Figure 16). Figure 16 Remit To Select to whom you remit the withholding information to for this vendor. If you select Vendor, populate the remaining fields. Next, click on the Reporting Info button to enter information regarding the reporting entity (Figure 17). 1. MAINTAINING VENDOR INFORMATION 17

18 Figure 17 Entity Select the entity to which the withholding information is reported. You can define more than entity for a vendor location. Address Select the vendor address to report to the entity. IRS Notified Twice of Invalid Check the box if the IRS has informed you that the TIN number reported for this vendor is invalid. Enter the remaining information that is available. Click OK twice to return to the Location page. Next, select Vendor Types from the More.. drop-down box located next to the Withholding Setup link. Vendor Types page is displayed (Figure 18). Figure 18 Preferred Language Select the language to use when printing payment advices. 1. MAINTAINING VENDOR INFORMATION 18

19 Primary Select if this is the primary vendor type. Type Field is required if you enter any information on this page. Service Type Code is used for EFT payments for this vendor location. It appears on government reporting section of certain EFT files. Click OK to return to the Location page. This completes the setup of this vendor location. To enter another vendor location, click on the Vendor Location level and follow the above instructions. at the Click Save to save the information you have entered so far. STEP 4: ENTER CONTACT INFORMATION If the vendor has a contact(s) with who you can communicate, the contact(s) can be established in the system. Click on the Contacts tab to display the contact fields (Figure 19). 1. MAINTAINING VENDOR INFORMATION 19

20 Figure 19 Contact - Each contact you enter for a vendor is automatically assigned a sequential Contact ID number. Description Enter any description. Type Select the type of contact from the drop-down. If none of the options apply, leave blank. ID Multiple addresses can be entered, but must be separated by semicolons. Address Associated the contact with one of the vendor s addresses. To see the address you have selected, click on the Address link. Click on the Telephone link to enter telephone and/or fax information for the contact. Enter as much information as is available. None of the fields on this page are required. Click Save to save the information you have entered so far. STEP 5: ENTER 1099 INFORMATION 1099 information for a vendor can be entered into the system from two different places. The first place is the Location page where you can use the Withholding Setup link and the second place is the 1099 page. Functionally, the information on these two pages is the same. In fact, the information you enter on one page will be displayed on the other. The 1099 page, however, is specifically designed to record information that is reported to the IRS. 1. MAINTAINING VENDOR INFORMATION 20

21 Click on the 1099 tab to display the 1099 information (Figure 20). Figure 20 The withholding information you entered, if any, on the Location page will appear on this page for each location. The location to which the information pertains to is listed at the top of the page in the Location field under the Vendor Location heading. You can scroll through the different locations by moving the horizontal scroll bar to the right and clicking on the arrows at the Vendor Location level. First enter the 1099 Information: Click on the to insert a new row for the 1099 information or use the existing row if it is blank. Fields marked with an asterisk are required and must be populated. Main Information tab: Entity Select IRS. Type Select Jurisdiction Select FED. Default Jur Select the default jurisdiction. This box can be checked for more than row, but must be checked for at least one row, otherwise, the withholding defaults are not copied to the invoice. Overrides tab: 1. MAINTAINING VENDOR INFORMATION 21

22 Hold Payment Select a value if Hold Pay Ind field is Specify: Hold Both: Hold both payments and the withholding information. No Hold: Do not hold payments for this vendor. Wthd Only: Hold only the withholding amount. Rule- If Rule Indicator field is Specify, select a value. The withholding rules indicate the action to be taken during withholding. Wthd Condition Some vendors have special privileges that allow them to have less withholding than other vendors. Select a value: Exempt: Vendor is completely exempt. The Percent field contains Enter the date in the Valid Until field until which the exemption applies. Exonerate: The vendor is withheld less than other vendors. Enter the exoneration percentage in the Percent field. Enter the Valid Until date as well. None: Vendor is not entitled to any exemption or exoneration. No need to populate the Percent or Valid Until fields. Withhold Select this checkbox to activate withholding. Remit tab: Remit To Select to whom you remit the withholding information to for this vendor. If you select Vendor, populate the remaining fields. Next, enter the 1099 Reporting Information: Click on the to insert a new row to establish IRS as the reporting entity or use the existing row if it is blank. Fields marked with an asterisk are required and must be populated. Entity Select IRS. Address Select the vendor address to report to IRS. IRS Notified Twice of Invalid Check the box if the IRS has informed you that the TIN number reported for this vendor is invalid. Enter the remaining information that is available. Click Save to complete the vendor setup process. STEP 6: MAINTAIN VENDOR INFORMATION Once you have saved the vendor into the system, you can return to the vendor pages and make any changes/updates that need to be made. 1. MAINTAINING VENDOR INFORMATION 22

23 NAVIGATION: Vendors>Vendor Setup/Maintenance>Vendor Information On the Vendor Information page (Figure 21), click on the Find an Existing Value tab. Figure 21 Enter the Vendor ID or Short Vendor Name or any other identifying information for vender. Click the Include History check box if you want the system to retrieve all effective-dated rows for the vendor. If the box is unchecked, the system will only display the maximum effective-dated (most recent) rows. Click the Correct History check box if you plan on making any changes to the vendor information. Click Search. Use the Use the Use the to add new rows/records. to delete existing rows/records. arrows to scroll through all the records/rows. Click Save to save your changes. 1. MAINTAINING VENDOR INFORMATION 23

4. MAINTAINING VENDOR INFORMATION

4. MAINTAINING VENDOR INFORMATION 4. MAINTAINING VENDOR INFORMATION Overview: This document will demonstrate how to enter and maintain vendors in PeopleSoft 8.9. 1: Enter Identifying Information Navigation: Vendors > Vendor Setup/Maintenance

More information

PeopleSoft v9.1 Accounts Payable AP01 - Maintain Vendors Training Manual Contact Information:

PeopleSoft v9.1 Accounts Payable AP01 - Maintain Vendors Training Manual Contact Information: PeopleSoft v9.1 Accounts Payable AP01 - Maintain Vendors Training Manual Contact Information: SpearMC Consulting, Inc. 1-866-SPEARMC info@spearmc.com www.spearmc.com TABLE OF CONTENTS PURPOSE... 3 CHAPTER

More information

9. CREATING PURCHASE ORDERS ONLINE

9. CREATING PURCHASE ORDERS ONLINE 9. CREATING PURCHASE ORDERS ONLINE Overview: This document will demonstrate how to create purchase orders online in PeopleSoft 8.9. A PO consists of four basic components: header, line(s), schedule(s),

More information

Vendor Create and Maintenance Manual

Vendor Create and Maintenance Manual University of Maine System Financials Vendor Create and Maintenance Manual Vendor Create and Maintenance 1 Index Introduction & Conversion from the Legacy System with Process Assumptions....3 I. Adding

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

Digital Intelligence Systems, LLC PeopleSoft Guide Vendors

Digital Intelligence Systems, LLC PeopleSoft Guide Vendors Digital Intelligence Systems, LLC PeopleSoft Guide Vendors Version 1.0 July 2016 CONTENTS INTRODUCTION... 3 1.1 Change Password... 3 PROFILE INFORMATION... 5 2.1 Identifying Information... 6 2.2 Address...

More information

2. CREATING REQUISITIONS ONLINE

2. CREATING REQUISITIONS ONLINE 2. CREATING REQUISITIONS ONLINE OVERVIEW: This document will demonstrate how to create requisitions online in PeopleSoft 8.4. A Requisition consists of four basic components: header, line(s), schedule(s),

More information

ADD/EDIT VENDOR. 1. To add a new vendor to the system from within the Accounts Payable module, navigate to: Accounts Payable Vendors.

ADD/EDIT VENDOR. 1. To add a new vendor to the system from within the Accounts Payable module, navigate to: Accounts Payable Vendors. ADD/EDIT VENDOR 1. To add a new vendor to the system from within the Accounts Payable module, navigate to: Accounts Payable Vendors. Vendors can also be added from within the Purchasing module. Regardless

More information

Requesting Vendors and Independet Contractors

Requesting Vendors and Independet Contractors Requesting Vendors and Independet Contractors VERSION: 3/6/2018 Table of Contents Understanding Campus Vendors 3 Choosing a Vendor Class 6 Reviewing Vendors 9 Requesting a New Campus Vendor 13 Requesting

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

Kuali Financial System Training Guide. University of Hawaii Purchasing

Kuali Financial System Training Guide. University of Hawaii Purchasing University of Hawaii Purchasing pg. 1 2/16/2012 Table of Contents Objectives... 3 Resources... 3 Searching for a Vendor... 4 Process... 4 Creating a Vendor... 7 Process... 7 Exercise 1... 24 Searching

More information

Financial Services Training Guide. PeopleSoft (9.1): Introduction to Electronic Purchase Orders

Financial Services Training Guide. PeopleSoft (9.1): Introduction to Electronic Purchase Orders Financial Services Training Guide PeopleSoft (9.1): Introduction to Electronic Purchase Orders Page 1 24 May 2016 Table of Contents 1 Create a Purchase Order... 3 2 Switching off GST... 12 3 Search for

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

Supplier Quick Reference and How To Guide

Supplier Quick Reference and How To Guide and How To Guide For Help or Support support@primerevenue.com Toll Free USA & Canada: 1 800 557 8047 Toll Free Europe: 00800 7746 3000 Toll Free Asia: 001 800 7746 3000 Toll Free Australia: 1 800 217 718

More information

North Dakota University System. Financial Systems 9.2. User Preferences

North Dakota University System. Financial Systems 9.2. User Preferences North Dakota University System Financial Systems 9.2 User Preferences July 2017 Table of Contents Overview... 1 User Preferences... 1 General Preferences... 2 Overall Preference... 2 OLE Information...

More information

PO110 Create and Maintain Purchase Orders Training Guide

PO110 Create and Maintain Purchase Orders Training Guide Training Guide COPYRIGHT & TRADEMARKS Copyright 1998, 2009, 2010 Oracle, IBM and Grant MacEwan University and/or its affiliates. All rights reserved. Oracle is a registered trademark of Oracle Corporation

More information

Supplier User Guide for AL Oracle isupplier

Supplier User Guide for AL Oracle isupplier Supplier User Guide for AL Oracle isupplier Version Date March 2017 TABLE OF CONTENTS Table of Contents... 2 OVERVIEW - ISUPPLIER... 4 Help & Support... 4 Definitions... 4 SYSTEM LOGIN & NAVIGATION...

More information

New Jersey Department of the Treasury Division of Purchase and Property

New Jersey Department of the Treasury Division of Purchase and Property New Jersey Department of the Treasury Division of Purchase and Property Quick Reference Guide VENDOR REGISTRATION Rev. 3/12/2018 2:46:00 PM Table of Contents 1. Purpose... 3 2. NJSTART 24/7 Availability...

More information

PSFIN V9.2 Training Processing User s Guide 2015

PSFIN V9.2 Training Processing User s Guide 2015 PSFIN V9.2 Training 1099 Processing User s Guide 2015 Information Technology Services Version 2015.0 Last Updated: 11/24/2015 Table of Contents Chapter 1: Introduction to 1099 Processing... 6 What Is

More information

UT Share / PeopleSoft Non PO Vouchers

UT Share / PeopleSoft Non PO Vouchers UT Share / PeopleSoft Non PO Vouchers For use when paying for items which do not require a Purchase Order (such as: memberships, registration, direct billed hotels and direct billed entertainment expenses).

More information

User Documentation. t-commerce User s Guide

User Documentation. t-commerce User s Guide User Documentation t-commerce User s Guide TRIBUTE INC. USER DOCUMENTATION t-commerce User s Guide Copyright Notice and Trademarks 2000-2007 Tribute, Inc. All rights reserved t-commerce is a registered

More information

Registering as a Supplier with Kentucky Community and Technical College System

Registering as a Supplier with Kentucky Community and Technical College System Registering as a Supplier with Kentucky Community and Technical College System Items needed prior to registering Taxpayer Identification Number (TIN) (Your organization s IRS TIN, Not Sales Tax ID) Address

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

Controller s Office Supplier Training September 12, 2017

Controller s Office Supplier Training September 12, 2017 Controller s Office Supplier Training September 12, 2017 Discussion Topics Supplier Maintenance Types of Suppliers How to Request a New Supplier How to Update a Supplier How to Find a Supplier in Payment

More information

Welcome to ProviderNet. ProviderNet Molina Registration Instructions Revised: January 2015

Welcome to ProviderNet. ProviderNet Molina Registration Instructions Revised: January 2015 Welcome to ProviderNet ProviderNet Molina Registration Instructions Revised: January 2015 1 Introduction Alegeus Technologies is pleased to provide the following registration instructions for the ProviderNet

More information

Data Import Guide DBA Software Inc.

Data Import Guide DBA Software Inc. Contents 3 Table of Contents 1 Introduction 4 2 Data Import Instructions 5 3 Data Import - Customers 10 4 Data Import - Customer Contacts 16 5 Data Import - Delivery Addresses 19 6 Data Import - Suppliers

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

Supplier Reference Guide (QRG) Table of Contents

Supplier Reference Guide (QRG) Table of Contents Supplier Onboarding Supplier Reference Guide (QRG) Table of Contents Supplier Checklist... 2 New Supplier Onboarding Steps... 3 Introduction... 4 Registration... 6 Certification... 16 Acceptance... 35

More information

WELCOME to Qantas Group isupplier

WELCOME to Qantas Group isupplier WELCOME to Qantas Group isupplier A manual for suppliers Welcome to our isupplier help manual. You re receiving this manual as you are one of our preferred suppliers with access to the isupplier Portal.

More information

eva Purchasing & Banner Receiving Manual

eva Purchasing & Banner Receiving Manual eva Purchasing & Banner Receiving Manual Compliance Employees are responsible for knowing and complying with established University and State policies and procedures when creating/approving requisitions

More information

Invoicing. Charges may be sent to an invoice from several different screens

Invoicing. Charges may be sent to an invoice from several different screens Title Insurance Premiums screen: Invoicing Charges may be sent to an invoice from several different screens 1. Expand the Owner's Policy Premium (and/or Loan Policy Premium) More/Less Bar, select the appropriate

More information

Aon Supplier Enablement Coupa Supplier Training Materials

Aon Supplier Enablement Coupa Supplier Training Materials Aon Supplier Enablement Coupa Supplier Training Materials June, 2017 Table of contents Overview: What is Coupa? Benefits for suppliers Invoicing options PO Flip CSP How to connect to CSP? Profile update

More information

ESIS. EDI Implementation Guide. Purchase Order Change X Version 4010 Release 8.0. EDI_Guide_Change_Order_X12_860_Version_4010_Release_8-0.

ESIS. EDI Implementation Guide. Purchase Order Change X Version 4010 Release 8.0. EDI_Guide_Change_Order_X12_860_Version_4010_Release_8-0. EDI Implementation Guide ESIS Purchase Order Change X12 860 Version 4010 Release 8.0 Page 1 of 37 EDI Implementation Support Information EDI Contact Name: ESIS, E-Commerce Provider of Raytheon EDI Contact

More information

esupplier - A User Guide for 3M s Vendors

esupplier - A User Guide for 3M s Vendors esupplier - A User Guide for 3M s Vendors Lesson 1 Getting Started...2 Main Menu / Home Page...2 Opening a New Window...2 Expanding and Collapsing the Screen...3 Downloading into Excel...4 Signing Out...4

More information

These instructions allow you to create a payment or credit memo for a Vendor (payee) with one invoice or credit memo, using Document Level Accounting.

These instructions allow you to create a payment or credit memo for a Vendor (payee) with one invoice or credit memo, using Document Level Accounting. These instructions allow you to create a payment or credit memo for a Vendor (payee) with one invoice or credit memo, using Document Level Accounting. Document Level accounting can be used when the FOAPAL(s)

More information

CAQH Solutions TM EnrollHub TM Provider User Guide Chapter 3 - Create & Manage Enrollments. Table of Contents

CAQH Solutions TM EnrollHub TM Provider User Guide Chapter 3 - Create & Manage Enrollments. Table of Contents CAQH Solutions TM EnrollHub TM Provider User Guide Chapter 3 - Create & Manage Enrollments Table of Contents 3 CREATE & MANAGE EFT ENROLLMENTS 2 3.1 OVERVIEW OF THE EFT ENROLLMENT PROCESS 3 3.2 ADD PROVIDER

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

Needham Bank Business Online Banking

Needham Bank Business Online Banking Needham Bank Business Online Banking Published December 2017 Contents ACH & NB Business Online Banking Terminology... 2 Getting Started... 4 Participants... 5 Creating a Participant... 5 Updating a Participant...

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

Supplier Portal. Instruction Manual

Supplier Portal. Instruction Manual This manual provides information necessary to become a registered Supplier with the Hillsborough County Aviation Authority Procurement Department. Supplier Portal Instruction Manual 0 Introduction to Supplier

More information

People. Processes. Integrating Globally.

People. Processes. Integrating Globally. People. Processes. Integrating Globally. Course: isupplier for Suppliers Table of Contents Table of Contents Course Introduction...4 L1: Vendor Registration... 6 Register for isupplier using SteelTrack

More information

Overview. Table of Contents. Employee/Student Reimbursement

Overview. Table of Contents. Employee/Student Reimbursement Overview Vouchers are used to reimburse employees and students for universityrelated expenses. Before making a purchase, the student or employee should verify that the expense is eligible for reimbursement.

More information

BUSINESS ONLINE & MOBILE BANKING ACCOUNT ACCESS

BUSINESS ONLINE & MOBILE BANKING ACCOUNT ACCESS PO Box 1149 Bellevue, NE 68005-1149 402.292.8000 800.228.0392 www.sacfcu.com BUSINESS ONLINE & MOBILE BANKING ACCOUNT ACCESS Conduct your credit union business from your personal computer anytime from

More information

Munis Self Service Vendor Self Service

Munis Self Service Vendor Self Service Munis Self Service Vendor Self Service User Guide Version 10.5 For more information, visit www.tylertech.com. TABLE OF CONTENTS Vendor Self Service Overview... 3 Vendor Self Service Users... 3 Vendor Registration...

More information

Seller & Seller Administrator Manual

Seller & Seller Administrator Manual Seller & Seller Administrator Manual BuySpeed Online 8.2 1 BSO Seller Manual Copyright 2009 Periscope Holdings, Inc. All rights reserved. Information in this document is subject to change without notice.

More information

Stewart Title Guaranty Company

Stewart Title Guaranty Company Stewart Title Guaranty Company Landtech provides built-in integration with Stewart Title Guaranty Company s web based underwriter service. This enables you to access their web based service from within

More information

1. On the Applications menu bar point to Accounts Payable > Tasks > Transactions > Bills, and then click + to the left of the Bills

1. On the Applications menu bar point to Accounts Payable > Tasks > Transactions > Bills, and then click + to the left of the Bills 1. Accounts Payable > Tasks > Transactions > Bills 1. On the Applications menu bar point to Accounts Payable > Tasks > Transactions > Bills, and then click + to the left of the Bills Note: This process

More information

The PeopleSoft Financials System

The PeopleSoft Financials System The PeopleSoft Financials System 2 Introduction...................... 14 Signing In and Out.................... 14 Signing In to the System.............. 14 Signing Out................... 17 Navigation

More information

Purchasing and Payables Business Processes Release 8.8

Purchasing and Payables Business Processes Release 8.8 Purchasing and Payables Business Processes Release 8.8 Create Purchase Order Purchasing Purchase Orders Add/Update POs Click Add Select a Vendor Enter a Description Enter the Quantity Enter the UOM Unit

More information

February 18, :00 AM Jason Beitzel

February 18, :00 AM Jason Beitzel February 18, 2015 9:00 AM Jason Beitzel 8:30-9:00 Setup and Socialize 9:00 Introduction 9:30 Module Overviews 9:45 Testing 12:00 Lunch 1:30 Resume Testing 4:15 Recap 4:30 Question and Answer Personalizations

More information

SYRACUSE GLASS COMPANY WEB CENTER SETUP MANUAL. There are several required and optional features to be setup before using Web Center.

SYRACUSE GLASS COMPANY WEB CENTER SETUP MANUAL. There are several required and optional features to be setup before using Web Center. Setup There are several required and optional features to be setup before using Web Center. The top portion of the Dashboard contains navigation menus and links described below: The above navigation menu

More information

DSWR User Guide. In effect from January 29 th,, BCLDB Direct Sales Web Reporting User Guide Page 1

DSWR User Guide. In effect from January 29 th,, BCLDB Direct Sales Web Reporting User Guide Page 1 DSWR User Guide In effect from January 29 th,, 2017 BCLDB Direct Sales Web Reporting User Guide Page 1 Contents Introduction... 4 Before You Get Started... 4 Registering for the DSWR Application... 5 Log-in...

More information

How to Query a Vendor

How to Query a Vendor How to Query a Vendor Description: There are several forms that can be used to find a vendor. Each one displays different information. Form Name/Direct Access: 1. FTIIDEN 2. FOIVEND 3. FTMVEND General

More information

Cardholder & Program Administrator

Cardholder & Program Administrator Access Online Transaction Management User Guide Cardholder & Program Administrator Version 2.9 Contents Introduction...3 Transaction Management Variables by Organization... 3 Procedures in This Guide...

More information

Revision Control Date By Action Pages 12/13/2011 Jonathan Hale 9.0 Process -----

Revision Control Date By Action Pages 12/13/2011 Jonathan Hale 9.0 Process ----- Procurement Business Process Guide Process: Create a New Express Purchase Order (EPO) Module: Purchasing High Level Description Process Module Document Type Create a New Express Purchase Order Purchasing

More information

System Setup. Accessing the Setup. Chapter 1

System Setup. Accessing the Setup. Chapter 1 System Setup Chapter 1 Chapter 1 System Setup When you create deals, certain pieces of standard information must be entered repeatedly. Continually entering the same information takes time and leaves you

More information

New Jersey Department of the Treasury Division of Purchase and Property

New Jersey Department of the Treasury Division of Purchase and Property New Jersey Department of the Treasury Division of Purchase and Property Reference Guide: Vendor Profile Management COMPANY INFORMATION & USER ACCESS For use by Seller Administrators Rev. 3/12/2018 12:43

More information

PeopleSoft to TRACK1099 User Guide. Processing your 1099 s for 2018

PeopleSoft to TRACK1099 User Guide. Processing your 1099 s for 2018 PeopleSoft to TRACK1099 User Guide Processing your 1099 s for 2018 For yearend 2018 we will be providing the TRACK1099 software for your council to use to create, email and e-file 1099 s with the IRS.

More information

Munis EFT Processing. Procedural Documentation. For more information, visit

Munis EFT Processing. Procedural Documentation. For more information, visit Munis EFT Processing Procedural Documentation For more information, visit www.tylertech.com. Accounts Payable EFT Processing If your organization uses the AP Payment Manager, skip this section and refer

More information

Supplier Portal Guide

Supplier Portal Guide Supplier Portal Guide Contents New Supplier Registration... 2 Introduction... 2 Registration and Login to the Supplier Portal... 2 Need Assistance... 2 Register on the Supplier Portal... 3 Terms and Conditions...

More information

University of North Carolina User Guide

University of North Carolina User Guide University of North Carolina User Guide June 2006 The software described in this document is furnished under a license agreement. The software may be used or copied only in accordance with the terms of

More information

Get Started. View a PO. Validate a PO. Generate Reports. Browse through the navigation panel for the information you are interested on,

Get Started. View a PO. Validate a PO. Generate Reports. Browse through the navigation panel for the information you are interested on, Browse through the navigation panel for the information you are interested on, Get Started What is Intel Web PO? How does Intel Web PO work? How do I start using Intel Web PO? How do I request access for

More information

Baptist Health South Florida

Baptist Health South Florida Baptist Health South Florida AP Payment Request Job Aid Table of Contents AP Payment Request... 1 Logging into PeopleSoft Portal... 4 Manage Payment Requests... 6 Enter and Submit Payment Request for Approval...

More information

EFI Pace Accounts Receivable Module

EFI Pace Accounts Receivable Module EFI Pace Accounts Receivable Module User Quick Start Guide July 2010 Version 23.02 Copyright 2010 by Electronics for Imaging, Inc. All Rights Reserved. EFI Pace Accounts Receivable Module Administrator

More information

RPA QUICK REFERENCE GUIDE

RPA QUICK REFERENCE GUIDE RPA QUICK REFERENCE GUIDE When you receive an invoice to be processed that is not on a PO you will create a RPA document. If it is an invoice for a BAM PO or AggieBuy PO send to invoices@tamu.edu. From

More information

Voucher Approver Quick Reference

Voucher Approver Quick Reference Approval Concepts Overview In BearBuy, the voucher (created from a supplier invoice sent to Accounts Payable) is routed for department approval when the invoice is $5,000 or greater. Vouchers are created

More information

Supplier Registration Instructions

Supplier Registration Instructions Supplier Registration Instructions Before you begin: Recommended use is Internet Explorer 10 or 11 Clear your cache Launch your browser and click on Internet Options, Delete, Delete Browsing History Copy

More information

Financial Services Training Guide. PeopleSoft (9.1): Receipting Purchase Orders for Receipting Officers

Financial Services Training Guide. PeopleSoft (9.1): Receipting Purchase Orders for Receipting Officers Financial Services Training Guide PeopleSoft (9.1): Receipting Purchase Orders for Receipting Officers Page 1 Table of Contents 1 Receipting goods or services against a purchase order... 3 2 Find existing

More information

Pay with ACH User Guide

Pay with ACH User Guide Pay with ACH User Guide 1. Pay with ACH...2 2. Managing Sub-Users...17 3. System Setup...20 If you need assistance, please call 1-800-539-9039 and choose option 2, then option 1. 1. Pay with ACH Pay with

More information

Vendor Portal User Guide

Vendor Portal User Guide Vendor Portal User Guide Version 1.3.208 Taulia Inc. 420 Taylor Street, 4 th Floor San Francisco, CA 94102 Phone +1 (415) 376 8280 Fax +1 (415) 639 6439 Taulia GmbH Bundesallee 171 10715 Berlin, Germany

More information

Job Aid: My Remittance Reporting. Contents. Access

Job Aid: My Remittance Reporting. Contents. Access Job Aid: My Remittance Reporting The purpose of this document is to provide step-by-step instructions to select files and remit and pay in the My Remittance Reporting section of AgentNet. Contents Access...

More information

Payments & Transfers User Guide

Payments & Transfers User Guide Payments & Transfers User Guide Table of Contents Payee Maintenance...1 ACH Payments...4. Batch Creation...4 Creating a Manual Batch...4 Transaction Import...6 Templates & Recurring Payments... 7 Wire

More information

To create a Commodity Level Multiple Invoice/Credit Memo, you must know or have the following;

To create a Commodity Level Multiple Invoice/Credit Memo, you must know or have the following; These instructions allow you to create a payment or credit memo for a Vendor (payee) with multiple invoices or credit memos, using Commodity Level Accounting. Commodity Level accounting is the default

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

Created By: Michele Sims Revised July 18, 2013

Created By: Michele Sims Revised July 18, 2013 isupplier User Manual Created By: Michele Sims Revised July 18, 2013 1 Contents Polk County isupplier Registration Process... 3 Introduction:... 3 Registration Approval Notification:... 3 New Suppliers...

More information

How to Create a Blanket Order

How to Create a Blanket Order How to Create a Blanket Order Description: This form consists of a main window and eight additional windows, which you use to enter information to create or modify (in-process), blanket orders. You must

More information

Animation: Enter Vouchers by Item or Amount?

Animation: Enter Vouchers by Item or Amount? Creating Manual Vouchers Topic 1 Monday, May 23, 2011 Page 1: Animation: Enter Vouchers by Item or Amount? Teacher Narration: When your company has a non-inventory expense, such as a utility bill, a cleaning

More information

Banner 9 Training Guide

Banner 9 Training Guide South Dakota Board of Regents Student Information System/Financial Aid Human Resources/Finance Information System Banner 9 Training Guide Date 9/26/2018 This training assumes that the user has completed

More information

Wire & Internal Transfers

Wire & Internal Transfers Wire & Internal Transfers USER GUIDE Transfer funds easily and securely. Convenience. Transfer money between accounts at Union Bank and different banks domestically and internationally. Ease. Say goodbye

More information

Reference Guide (IRIS)

Reference Guide (IRIS) Reference Guide For Santander Bank s Interactive Reporting & Initiation Services (IRIS) Equal Housing Lender. Santander Bank, N.A. is a Member FDIC and a wholly owned subsidiary of Banco Santander, S.A.

More information

Scholastic Oracle Cloud Supplier Portal User Guide

Scholastic Oracle Cloud Supplier Portal User Guide Scholastic Oracle Cloud Supplier Portal User Guide Table of Contents Introduction to the Supplier Portal... 3 What is the Supplier Portal?... 3 Navigating the Supplier portal... 3 Logging in... 3 Homepage

More information

MERCERSPECTRUM EMPLOYER USER GUIDE

MERCERSPECTRUM EMPLOYER USER GUIDE MERCERSPECTRUM EMPLOYER USER GUIDE WHAT DO YOU WANT TO DO TODAY? Getting started... 2 Day-to-day processing... 3 Linking the Choice fund to your Employer Fund List...4 Choice Fund exists but is not linked

More information

RESOLV EDI CONTROL. User Guide Version 9.2 for HANA PRESENTED BY ACHIEVE IT SOLUTIONS

RESOLV EDI CONTROL. User Guide Version 9.2 for HANA PRESENTED BY ACHIEVE IT SOLUTIONS RESOLV EDI CONTROL User Guide Version 9.2 for HANA PRESENTED BY ACHIEVE IT SOLUTIONS Copyright 2011-2016 by Achieve IT Solutions These materials are subject to change without notice. These materials are

More information

Orchard Supply Hardware Direct to Consumer 850 Purchase Order

Orchard Supply Hardware Direct to Consumer 850 Purchase Order Orchard Supply Hardware Direct to Consumer 850 Purchase Order X12/V4010/850: 850 Purchase Order Author: Orchard Supply Hardware Trading Partner: Created: May 25, 2011 Modified: June 9, 2011 Notes: ISA/GS

More information

1. About AP Invoice Wizard

1. About AP Invoice Wizard 1. About AP Invoice Wizard Welcome to AP Invoice Wizard. We have developed this tool in response to demand from Oracle Payables users for a user friendly and robust spreadsheet tool to load AP Invoices

More information

General. In this work instruction you will learn:

General. In this work instruction you will learn: Procedure Vendor Inquiry in LOGOs Created By K.Revolinski 5/12/2011 Updated By C. Corbeille 1/16/2012 General Vendor inquiry allows users to view information about a particular vendor such as address,

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

Munis Self Service Vendor Self Service. User Guide Version 11.2

Munis Self Service Vendor Self Service. User Guide Version 11.2 Munis Self Service Vendor Self Service User Guide Version 11.2 TABLE OF CONTENTS Vendor Self Service Overview... 3 Vendor Self Service Users... 3 Vendor Registration... 4 Vendor Self Service Home Page...

More information

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

Line Item Options. CFS Purchasing. Contents

Line Item Options. CFS Purchasing. Contents Line Item Options This guide outlines the process for all options relating to the line item itself. The list below will help reference where in the document contents appear. Contents ADDING ADDITIONAL

More information

IN-HOUSE DISTRICTS Please contact your Technology person for details. Your district tech person will be receiving notice of this release directly.

IN-HOUSE DISTRICTS Please contact your Technology person for details. Your district tech person will be receiving notice of this release directly. SMART Finance Bulletin FY 2019-02 December 5, 2018 SMART Version 18.3 Update RDS DISTRICTS If you are a district using the RDS system, the upgrade will be completed for your database starting at 4:00 PM

More information

EDI GUIDELINES PAYMENT ORDER/REMITTANCE ADVICE 820 FUNCTIONAL ACKNOWLEGEMENT 997 VERSIONS 4010 FINANCIAL INSTITUTION VERSION

EDI GUIDELINES PAYMENT ORDER/REMITTANCE ADVICE 820 FUNCTIONAL ACKNOWLEGEMENT 997 VERSIONS 4010 FINANCIAL INSTITUTION VERSION EDI GUIDELINES PAYENT ORDER/REITTANCE ADVICE 820 FUNCTIONAL ACKNOWLEGEENT 997 VERSIONS 4010 FINANCIAL INSTITUTION VERSION T:\Internet arketing\deliverables\820 EFT Bank guidelines.doc Rev. 6/27/2007 9:58

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

myvtax for Attorneys & Staff

myvtax for Attorneys & Staff myvtax for Attorneys & Staff Elizabeth Hunt Vermont Department of Taxes October 2017 Training Agenda www.myvtax.vermont.gov How to set up your Third Party account How to set up sub-accounts Enter a Property

More information

Overview. Business Online Banking BASIC OVERVIEW PAGE 1

Overview. Business Online Banking BASIC OVERVIEW PAGE 1 Overview Business Online Banking BASIC OVERVIEW PAGE 1 Basic Overview Business Online Banking Main navigation: My Accounts, Move Money, and Additional Services. Admins have full access to all accounts

More information

FINANCE MANAGER. Accounting Manual Finance Manager.

FINANCE MANAGER. Accounting Manual Finance Manager. FINANCE MANAGER Accounting Manual 2010 Finance Manager Accounting Setup - Table of Contents Start Page... 1 Setup Which Files Should Be Completed First?... S-1 Items... S-2 Item Categories... S-7 Unit

More information

Company and User Set Up. Company Policy. NOTE: The Company Policy controls the companylevel feature entitlements and dollar limits.

Company and User Set Up. Company Policy. NOTE: The Company Policy controls the companylevel feature entitlements and dollar limits. Company and User Set Up Company Policy NOTE: The Company Policy controls the companylevel feature entitlements and dollar limits. 1. Select Commercial and then Company Policy. 2. Select a transaction type

More information

Accounts Receivable WalkThrough

Accounts Receivable WalkThrough PRACTICE CS Accounts Receivable WalkThrough Version 2014.x.x TL 30465 9/8/16 Copyright Information Text copyright 2004-2016 by Thomson Reuters. All rights reserved. Video display images copyright 2004-2016

More information

Emdeon Vision Payment Manager Integration. User Guide

Emdeon Vision Payment Manager Integration. User Guide Emdeon Vision Payment Manager Integration User Guide Version 1 November, 2010 This page intentionally left blank. Vision - Payment Manager Integration Guide Copyright 1 Searching for ERAs 2 Sorting Columns...

More information

Scholastic Oracle Cloud Supplier Portal User Guide

Scholastic Oracle Cloud Supplier Portal User Guide Scholastic Oracle Cloud Supplier Portal User Guide Table of Contents Introduction to the Supplier Portal... 3 What is the Supplier Portal?... 3 Navigating the Supplier portal... 3 Logging in... 3 Homepage

More information