Petty Cash Last update: October 15, 2012

Similar documents
ExpenseWire User Guide Submitters Edition Creating an Expense Report

Hospitality Payment Module: FTS Transfers

Concur Expense Non-Travel Manual

Create an Expense Report from a Travel Authorization (Apply a Cash Advance)

Attaching Documentation to Travel and Expense Transactions in PeopleSoft Financials

Concur Travel Expense Training Manual 10/11/17

Concur Travel Expense Training Manual 8/17/16

Table of Contents. This guide is designed for Authorized Signers on University accounts who approve epayment requests.

Expense Transfer Journal Module: FTS Transfers. Table of Contents

Blue Bear/School Books Check Entry QR Guide

How to Create an Expense Report Basic

Travel Authorization Procedure

TRAVEL AUTHORIZATIONS

Create an Expense Report for Another Employee Quick Reference

Create a Travel Authorization from a Blank Form. A Travel Authorization must be created in order to receive a cash advance.

MaineStreet Financials 8.4

TBR Service Center INTERNAL VENDOR PROCESSING (FUPLOAD)

PeopleSoft. Travel and Expense Center. Expense Report. User Guide

Review Expense History

SMART JOURNAL MANUAL 9.2

Create Expense Report (Net-Card or Employee Paid)

Importing a Journal Entry

Nexsure Training Manual - Accounting. Chapter 7

Creating a Reimbursement Request

Out-of-State Tobacco Products Wholesale Dealer s Report

ZAP_ENTRY Transaction

SMU Financials Created on April 29, 2011

You use cash disbursements if you have created a manual cheque that does not have a payable invoice recorded in the system.

ACH Origination User Guide

How to Order a Four Panel Brochure through Print Services. Go to the Print Services Web Page and select the Online Store link.

Expenses & Reimbursement

Entering a Grants Travel Reimbursement Request

Student Activity Fund Year End FY18 Close SchoolBooks Process PREPARATION

PeopleSoft Finance System: Step by Step Guide Creating Journal Entries

Juris Year-End Checklist

Business ebanking Essentials Transfers and Payments

Creating and Submitting a Fluid Expense Report in PeopleSoft Financials

EXPRESS NEW VERSION. Improvement Highlights

HOW TO ADD A PETTY CASH DEPOSIT 1. Go to Petty Cash. Click Transactions and then Petty Cash.

CitiDirect Global Card Management System (GCMS) Training Guide for BCs and Account Managers TABLE OF CONTENTS

SUBJECT: UHCL Journal Entry Workflow Training Page 1 of 40

Creating and Submitting an Expense Report

Printed copies of this User Guide should not be regarded as the current version.

Steps on How to Create Cash Advances

Get Qualified User Manual

Concur Travel & Expense EXPENSE REPORT

User Guide EZE X P E N S E S BY T I M EREWARDS. After completing this module, you will be able to: Log in to your Account

The University of Texas at Tyler UT SHARE / PEOPLESOFT WORKFLOW Payment Voucher Procedures for Department Budget Authority Approver

Employee Expense Submission Guide

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.

In-State Tobacco Products Wholesale Dealer s Report

Concur Attachments. Table of Contents

Nexsure Training Manual - Accounting. Chapter 13

Intrepid User Guide. In this guide you will learn how to:

Processing Reimbursements in Kuali with a Disbursement Voucher Quick Expense (DVQE) document for travel and non-travel expenses

Non Tax Levy (NTL) Requests for Payment

JOURNAL ENTRY GENERAL LEDGER USER MANUAL Chapter 6

Chapter Quarterly Financial Report Instructions (Monthly Format)

North Carolina A&T State University Internal Procedures - Journal Entry Guidelines

Wesleyan University. PeopleSoft - Configuring Web Browser Settings

Approving Journal Entries

Entering Payment Requests for Employee Payments/Reimbursements

Client-Account Receivable

BABCOCK UNIVERSITY UMIS MANUAL (USER GUIDE) HOW TO ACCESS

TRAVEL VOUCHER USER MANUAL Chapter 8

Coeus Extension IRB Administrative Process Grant Exemption/Expedited Approval (Initial Protocol or Amendment)

User Guide for PGA Tour: The Submitter Role

How to create and delete a journal voucher (JV)?

User Documentation for School Activity Funds Accounting

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

TRAVEL AND EXPENSE CENTER REPORTS USER GUIDE

WEB CLIENT AP APPROVAL LIFE CYCLE USER GUIDE

This Job Aid covers the process of creating, approving, and processing vouchers in the upgraded ONEPeralta system. Log on to ONEPeralta 3

Procurement and Team Card Procedure Creating a Card Statement Expense Report

Utility Cashier System

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

Chrome River Quick Guide: Expense Report

This Job Aid covers the process of creating, approving, and processing vouchers in the upgraded ONEPeralta system.

GL Account Documents (JV)

ClinCard Reference Guide: Site Coordinator

Entering and Submitting a CJA-21

SharpSchool Chapter 7 USER MANUAL EXTERNAL LINK PAGE For more information, please visit:

Concur - Create an Expense Report Last Updated: June 2017

Create Travel Authorization (Net-Card)

Who uses it? The document is used by IUF KEM Account Managers, Supervisors and their delegates.

RECONCILING IN SMARTDATA

CASHNet - Departmental Deposits Instructions for Departments

TEAM MEMBER YARDI VENDOR CODE SETUP:

Disbursement Voucher (DV) Quick Reference Guide

Juris Year-End Checklist 2011

Travel and Expense Management Training Manual

Job Aid: Creating and Editing a Vendor

CARD PROGRAM REIMBURSEMENT REQUEST. To create a reimbursement request in works.please follow steps 1-8

WebPrint Quick Start User Guide

Concur Expense User Guide

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

Quick Reference: Entering YourEncore Time & Expense (in iaccess)

Quick Reference Cardholder

User Manual RFCUNY SIS DEPARTMENT. Copyright 2004 Research Foundation of CUNY All Rights Reserved

Quick Reference Card Create a Mileage Only Expense Report in Concur Travel and Expense for County Extension Offices

Transcription:

Last update: October 15, 2012 Copyright 2008 Case Western Reserve University Page 1

This business process demonstrates how a department can enter petty cash receipts and add backup documentation. Disbursement Entry Procedure 1. Click the Case Management link. 2. Click the Cash Disbursement Entry link. Page 2

3. Click the Add button. Page 3

4. 5. 6. 7. 8. Enter the desired information into the Payee Name field. Enter a valid value e.g. "Jayne Doe". Enter the desired information into the Descr field for the total voucher. Enter a valid value e.g. "cups and drinks". Enter the desired information into the Description field for the distribution line. Enter a valid value e.g. "cups". Enter the desired information into the Distribution Line field. Enter "5.50". Note: The limit on Vouchers is $75.00. Enter the desired information into the Speedtype field. Enter a valid speedtype e.g. "OPR261221". Page 4

9. Enter the desired information into the Account field. Enter a valid value e.g. "531100". RES/TRN/SPC/OSA/OPR/INS/END/VSN speedtypes should be used in combination with Account #5xxxxx. AGY speedtypes should be used in combination with Account #203290. LON/RECV/PYBL/DEPS/DINC/INC/BEN/SERV speedtypes should not be used for Vouchers. Travel items should all be reimbursed via the Travel and Expense module and should no longer be included in P/C vouchers. 10. 11. If you have specified an event code, then enter that code in the Event column. If you have more receipts to enter, click the Add a new row button to add more details. 12. Click the Save button. 13. Backup documentation can now be attached to the P/C Voucher. The original receipts should be included in the backup documentation. If an original receipt was lost and only a copy is available, the person approving the voucher needs to include a memo with the PeopleSoft backup documentation stating that the original receipt was either lost or destroyed and that management has signed off on the replacement documentation. The Cashier s Office will need some type of documentation, i.e. a copy of the original receipt, credit card statement, check, etc. included in the PeopleSoft backup documentation in order to approve the P/C voucher. Click the Backup Documentation tab. Page 5

14. 15. Enter Comments relating to your attachment into the Comments field. To add an attachment, click the Add button. NOTE: Only 1 attachment may be added per journal. It is best to consolidate your attachments into one file. Page 6

16. The Upload window will open. Click the Browse... button. Page 7

17. The dialog box will open. Choose the file from your list and click the Open button. Page 8

18. The file path populates in the field. Proceed to click the Upload button. Page 9

19. Notice the Add button is greyed out and you cannot add more attachments. To View your attachment, click the View button. NOTE: Internet Explorer users - hold Ctrl key and click View button. To delete your attachment, click the Delete button. 20. 21. 22. Click the Printer Friendly Disbursement link. A new window will pop up while the system generates your new file. Make sure that your pop up blocker is turned off. Print the form using the print icon or the File -> Print on your browser. Page 10

23. 24. The authorized department approver should sign the form. The payee also needs to sign the form. The payee then takes the form, their ID and the original receipts to the Cashier's Office for payment. Note: The Payee and Approver may not be the same person. All Vouchers must be cashed within 90 days of receipt. End of Procedure. Page 11