RECONCILING UBC VISA CARD FOR TRAVEL IN OPT

Similar documents
OPT Overview. Faculty of Education. OPT Overview - Introduction. Account Codes OPT Reporting Tools Assigning a Delegate

Employee Expense Submission Guide

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

Concur - Create an Expense Report Last Updated: June 2017

Expense Report Entry-Job Aid

Expense Report Entry-Job Aid

Create Expense Report (Net-Card or Employee Paid)

A NS Financials Self Service Portal is becoming available in myunsw. Staff who wish to use self service can now: QUICKLINKS

Jackson State University

Create Expense Report

CREATING YOUR EXPENSE REPORT (REIMBURSEMENTS AND DIRECT PAYMENTS TO VENDORS)

Certify User Guide CREATING & SUBMITTING EXPENSE REPORTS

EXPENSE REIMBURSEMENT

Quick Reference Card Completing an Expense Report in Concur Travel and Expense

At the end of a statement period, you will be notified via- that it is time to review your card statement.

FlexiPurchase. Staff Reimbursements User Guide

SUBMIT AN ADVANCE REQUEST

Travel Activities Creating an Expense Report From a T-Auth

How to Create an Expense Report Basic

Travelers Guide for Concur

Creating a New Expense Report from My Concur Homepage

Concur Request User Guide

Expense Report Cheat Sheet

Concur Travel & Expense EXPENSE REPORT

TRAVEL AUTHORIZATIONS

Long Term TDY Beginning Settlement

TDY Settlement With Prior Authorization

Creating an Expense Report with PeopleSoft Travel & Expenses

Creating a Domestic Expense Report

Create Travel Authorization (Net-Card)

Travel Reimbursement. -step by step- When is Travel Reimbursement (TR) required?

Long Term TDY Ending Settlement

HR_200 Human Resources Overview. Day Trip. SAP Travel Document Solution - TRIP. Day Trip - SAP Travel Document Solution TRIP

Concur Expense User Guide

User Guide Create isupplier Supplier Charges

TDY Supplemental Settlement

TRAVEL AND EXPENSE CENTER REPORTS USER GUIDE

CONCUR EXPENSE GUIDE. For Approvers/Travelers

March 18, 2019 SUBMITTING TRAVEL PLANS USING CONCUR

TE Travel Connector Expense Quick Start Guide. TE Connectivity Version 1.0

Concur Creating a New Expense Report QRG

Travel Reimbursement

Travel and Expense System Delegate Instructions

Welcome. Welcome to ExpensAble. Features of ExpensAble

UNIVERSITY OF LETHBRIDGE ONLINE PERSONAL REIMBURSEMENT SYSTEM USER MANUAL

Apptricity Training & Travel Expense Management Department Guide - POLICE April 2017

Steps to Create an Expense Report (ER) in CUNYfirst:

KFS Distribution of Income and Expense Guide for Travel Advances

Concur Travel Expense Training Manual 10/11/17

Concur Travel Expense Training Manual 8/17/16

Concur Travel & Expense CONCUR TRAINING - OVERVIEW

Acquitting Visa Transactions in Concur

Travel Reimbursement -step by step-

Process for Travel/Expense Claims Physiology and Pharmacology

Please note this is a searchable document: Press Ctrl F and enter keyword

Missouri State University. Cardholder Manual for Visa Information Source

Submitting a Travel and Business Expense claim

Purchasing Card Cardholder View & Review Transactions

Concur Expense QuickStart Guide for CRC. Concur Technologies Version 1.2

Concur Expense Non-Travel Manual

Concur Expense QuickStart Guide. SAP Concur Technologies Version 1.7

CONCUR REQUEST GUIDE. For Delegates/Travelers

ERC: Create an Expense Report Quick Reference Guide

Creating and Submitting an Expense Report

BraindumpsIT. BraindumpsIT - IT Certification Company provides Braindumps pdf!

Travel Reimbursement Quick Help Guide

Concur Expense QuickStart Guide. Concur Technologies Version 1.6

UNIVERSITY OF LETHBRIDGE ONLINE PERSONAL REIMBURSEMENT SYSTEM USER MANUAL - 1 -

Quick Reference Card Booking Travel in Concur Travel and Expense

Creating a Travel and Expense Claim User Guide

Chrome River Quick Guide: Expense Report

Concur Travel & Expense Frequently Asked Questions

Step-by-Step Guide: Submitting a Concur Expense Report. Before You Begin:

Creating a Reimbursement Request

Travel Voucher Instructions

Create a Travel Authorization (TA)

CONCUR REQUEST GUIDE. For Approvers/Travelers

FIN ICSUAM CSUEB Business Process Guide

Concur Travel User Guide

Cardholder & Program Administrator

Expense Reimbursement System (ERS) Frequently Asked Questions

neo finance UTS Internet Expenses User Guide Updated August 2010

My ASU TRIP manual. ASU Travel Service Center. Call Mon. through Fri., 8 a.m. to 5 p.m., Arizona time

Concur - Expense Report ver.091 Creating Expense Report, Itinerary & Meal Allowance Page 1

How to submit your travel reimbursement request directly in the T&E system

Create an Expense Report for Another Employee Quick Reference

Concur's mobile app iphone

Expense Reports. University of Kansas 12/22/2015

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

Employment and Assistance Appeal Tribunal EXPENSE CLAIM SYSTEM USER INSTRUCTIONS

Concur Expense User Guide

myexpenses: claiming on behalf of

Concur Travel Training California State University, Stanislaus Financial Services

Table of Contents STEP 1: LOGGING ON:... 2

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

SAP Concur's mobile app iphone

Travel Authorization Procedure

Concur Travel QuickStart Guide

ProTrav Travel Training

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

Transcription:

Scope This document outlines the procedures on how to reconcile a UBC VISA Card for Travel related expenses. Note that if you incurred out of pocket expenses during the same trip, you will also be able to claim them during the reconciliation process. Definition A Wallet is a virtual location within the Online Payment Tool where a user can store charges from the UBC VISA Card. When reconciling charges related to travel on the UBC VISA Card, users have to put them into such a Wallet, thereby making the charges available to submit on a Travel Expense claim. Tips 1. Ensure you have organized and digitized* your receipts and invoices. 2. Ensure you know your SpeedCharts & Account Codes. Seek guidance from your faculty s or department s finance team if unsure of which one(s) to use. *See OPT reference guide Selecting your SpeedCharts and Account Codes in OPT for support, if not provided by your department. 3. It is very important that any travel related items purchased with the UBC VISA Card are placed in the virtual Wallet prior to starting a Travel Expense claim. 4. Negative amounts (e.g. credits/returns*) cannot be put into the Wallet. *See OPT reference guide Reconciling UBC VISA Card for Credits or Returns in OPT for support *See OPT reference guide Reconciling Your UBC VISA Card for Fraudulent Transactions in OPT for support 5. The use of folders* is mandatory in a Travel Claim. 6. Note: The UBC VISA Card cycle begins on the 16th of each month & ends on the 15th of the following month. Reconciliation of VISA transactions should be completed in a timely manner (we recommended within 30 days). 7. Once the status of an expense line is changed from New to any other status, it cannot be reverted to New. If you are not ready to reconcile the transaction, you can change the status to On Hold until you are ready to reconcile it. Reconciliation Procedures 1. Access OPT*. *See OPT reference guide Logging into the Online Payment Tool (OPT) for support 2. Select the appropriate: (for self service) or (for Proxy). 3. Select ; you will be directed to the Reconcile Statement page and a list of your unreconciled UBC VISA Card transactions will be auto populated: From VISA Reconcile Statement Page 1. Identify all the line items with travel related expenses that you would like to reconcile. 2. Verify that the Transaction Date, Merchant, Billing Amount and Transaction Amount match with your travel receipts or invoices. 3. Click on under the Status column, and change the Status of the line from New to Wallet for each transaction that matches with your travel receipts or invoices. Note: Please see Tip number 7 above for important reminder. 4. These items are now placed in your virtual Wallet and will be available for you to use later on during the travel claim process. 5. Click on at the bottom left corner of the page. 6. When you are ready to start your travel claim process click on OPT_027 Ver: 4 Rev: February 15, 2018 Page 1 of 5

Step 1 of 8: Select a Folder 1. In the Folder* Use area: To Use previously created folder 1. Select use an existing folder/trip. 2. Select the relevant folder in the list by clicking on the corresponding radio button 3. Proceed to the next step in this document below this table. Create a new folder 1. Click on the drop down list and select create a new folder/trip. 2. Enter description for Folder Title. 3. Select the relevant Trip Type. 4. Enter trip details including location, dates and purpose. 5. Click 6. Proceed to the next step in this document below this table. Step 2 of 8: Copy Prior Request 1. Select No in the Copy Prior Request area. Step 3 of 8: Travel Claim Setup 1. In the Claim SpeedChart area: If Same Speed Chart for entire claim Different Speed Charts Then Select Yes and enter the Speed Chart in the SpeedChart Key field. Select No. 2. In the Personal Days area (for trips over 1 day) specify if any personal days are included in your trip. 3. Select all relevant Expense Types. This step is optional except for mileage expenses. See below additional selection for Meals and Mileage: If Your claim includes Meals Your claim includes Mileage Then Select Meals and then select Actual Receipts or Per Diem Rates. 1. Select Mileage. 2. Enter the number of Kilometers travelled. 3. Select the Rate*. *If you select Custom rate, enter the amount per km and enter a reason why a rate other than Standard is being claimed in the Comment box. 4. Click OPT_027 Ver: 4 Rev: February 15, 2018 Page 2 of 5

Step 4 of 8: Travel Claim Entry 1. In the Travel Expense Details area: Field Trans Date Category Enter the date as displayed on your receipt or invoice. Note: If transaction date is outside of the trip dates, a warning message will appear. Click OK and proceed to enter actual date of transaction. Select the appropriate expense Category SpeedChart If required, enter or change the SpeedChart for each line. Note: If a Program code is associated with your SpeedChart, the SpeedChart has to be entered in the Account Distribution Wallet 1. For receipts or invoices that were paid by your UBC VISA card, click on to retrieve any items previously put in the Wallet. You will be redirected to the Choose a Wallet Transaction page where you will find a pre populated list of your previously Walleted items that are now ready to be reconciled on your travel claim. 2. Select the relevant Walleted item that corresponds with the expense type/line you want to reconcile by clicking on the radio button next to the item. 3. Note: Only one item at a time can be selected. 4. Click. The Walleted item you selected is now populated on your expense line. 5. Repeat the steps above for all relevant Walleted items that match with your travel receipts or invoices. Note: If an FIA** account code was used and some or all expenses belong to other individuals, click on Distribution icon to access the Account Distribution screen. In the Distribution area click to enter the Alternate Vendor ID and allocate the expense to the correct individual, when required. After an Alternate Vendor is added, the ALT ID icon will appear green Transaction Amount 1. For receipts or invoices that were paid out of your pocket, enter the expense amount (for non Walleted items inclusive of tax into the Transaction Amount field, instead of clicking on to retrieve only, i.e. when including outof pocket expenses in your on Apply Exchange if your out of pocket receipt is in a currency other than the item from your virtual Wallet. travel claim) Canadian Dollars, so that the system converts the amount into Canadian Dollars for you. Note: this box only appears if the travel destination is outside of Canada. The exchange currency is determined by the Arrival Country in the trip folder used. Note: If an FIA** account code was used and some or all expenses belong to other individuals, click on Distribution icon to access the Account Distribution screen. In the Distribution area click to enter the Alternate Vendor ID and allocate the expense to the correct individual, when required. After an Alternate Vendor is added, the ALT ID icon will appear green Personal Amount This field is to certify if the expense is partially a personal expense that should be excluded from the reimbursement amount Note: This field is only available when the expense is a transaction retrieved from your Wallet Missing Receipt Check, if missing a receipt or invoice. Consumed in BC* Check, if expenses incurred in BC. Add/Remove Expense Line (Optional) To add another expense row to the claim, click delete a row, click *For information on Consumed in BC, see: OPT reference guide What Does Consumed in BC Mean OPT reference guide Consumed in BC Mean for Financial Administrators and enter the expense details. To OPT_027 Ver: 4 Rev: February 15, 2018 Page 3 of 5

2. Select the appropriate Missing Receipts option from the drop down menu. 3. Click Step 5 of 8: Travel Claim Summaries 1. Review summary page for accuracy. Step 6 of 8: Special Handling 1. Payment Method Your default payment method will appear. We recommend that you do not change the default payment method. Please note that if this claim didn t include any out of pocket expenses, then no payment will be issued to you. Step 7 of 8: Submit 1. If your selected any in Step 4 of 8 above, in the Travel/Expense Missing Receipts area: Field Explanation Enter justification for missing receipt. 2. File Attachments Receipts/invoices/supporting documentation are attached to an eform via documents sent to opt.docs@ubc.ca (Perceptive Content Server) or via documents saved on the user s desktop computer. Documents sent to opt.docs@ubc.ca are retrieved by clicking the button. To attach these documents to the eform, you must click the button for the document on the Unattached Items list, so that the document can appear on the Attachments list. Documents in the Attachments list are attached documents from the Unattached Items list as well as those loaded from the user s desktop computer. To attach image to an eform from: Perceptive Content server (emailed documents) Desktop computer On the Unattached Items List: 1. Single click on to list available documents. 2. Single click on to review your attachment. 3. Single click on to add document to Attachments list. Edit the description, if required (maximum 39 character). Single click on to remove document from Attachments list. On the Attachments List: 1. Single click on to browse your desktop computer. 2. Single click 3. Select document (single click) and click 4. Single click 5. Single click on to review your attachment. 6. Change the description, if required (maximum 39 characters). 7. (Optional) Click on to add another document, or click on to delete the document. OPT_027 Ver: 4 Rev: February 15, 2018 Page 4 of 5

3. Click in the Forms Messages area to provide electronic Certification Signature; click all that apply. 4. Enter a comment in Your Comment area, if needed. Note: The Comment History field will populate with information that was initially entered into the Purpose field when the Folder was set up; this field cannot be edited on this screen. 5. Review the Purpose of Trip field. Note: To update this field, edit the folder s Purpose of Trip; you cannot edit the field on this screen. 6. Click Step 8 of 8: Approver Page 1. Verify that the One Over approver is correct. If necessary, click to search for another One Over approver*. The default approver will be notified if another One Over is selected. *See OPT reference guide Changing One Over Approver in OPT for support 3. Click AFTER SUBMITTING 1. Click at the bottom of the screen. 2. Print the page displayed. This is your eform and is labelled as Step 1 of 2: Travel Claim Summary at the top. *See OPT reference guide Printing your Payment Request in OPT for support 3. Attach receipts and/or invoices* to the printout and take note of the eform ID. This is your reference number. 4. Click 5. Contact your Finance team in your department or faculty for document storage and retention instructions*. *See OPT reference guide Filing and Retaining your OPT Documents, Receipts and Invoices for support OPT_027 Ver: 4 Rev: February 15, 2018 Page 5 of 5