Payments

Create Payment Extracts

Overview

This mode of extraction allows to create draft payments for all expense vouchers within a specified fiscal year, or a specific range of expenses. The Payment process provides an intuitive step-by-step approach to selecting expense vouchers for payment, verifying the accuracy of all draft payments that are generated by the system, approving them, then releasing them for payment to the proper vendors or beneficiaries.

 

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Treasury Management ► Payments ► Create Payment Extracts

 

Payment Extract Generation screen Fields

Field

Description

Fiscal Year

The fiscal year for which the payment extract is to be generated. Default is current fiscal year. However, the user can specify the previous year as long as it is still open.

Fiscal Period

Fiscal period of the extract. Default is current period.

Accounting Office

Accounting Office Code related to the Expense voucher for which the extract is to be generated.

Date

The date the extract was created. Default is Current date.

Payment Type

The type of expenditure for which the extract was generated.

Grouped Cheques

Indicates if multiple invoices having common criteria have been grouped into one cheque. Default as defined in the Expenditures Parameters. The system must apply the following rules for grouping: same Vendor, same Treasury Bank Account ID, same Currency, and same Payment Method.

Due Date From

Earliest due date of payments to be included in extract.

Due Date To

Latest due date of payments to be included in extract.

Vendor

User can select a specific vendor by populating the Vendor ID of vendor whose invoices are to be included in the extract.

Pay Agent

Person who delivers cash or cheque is known as Pay Agent. Appropriate Pay Agent is to be selected for Payment Extract.

Treasury Bank Account

Treasury Bank Account assigned to the payments to be included in the extract.

Financial Institution

Appropriate Financial Institution where treasury have its account should be selected to extract Payment Voucher.

Currency

Currency of the payments to be included in the payment extract.

Payment Mode

Mode of the payments that will be included in the extract.

Payment Location

Location of the payments to be included in the extract.

Payment Method

Method of the payments that will be included in the extract.

Domestic Amount From

Minimum domestic amount for the payments that will be included in the extract. Default is Zero.

Domestic Amount To

Maximum domestic amount for the payments that will be included in the extract. Cannot be less that the value in the ‘Domestic Amount From’ field. Default is Zero.

Language

Country specific Language used to register the Description.

Description

Short description of the Payment Extract.

Expense Voucher Payment Detail

Expense Vouchers details list out Expense voucher, invoice no., payment/ due date. Upon clicking on details button, payment details is shown in view mode.

 

Finalize Transfer

Overview

Once a transfer is released, the last step is finalize the transfer in order to generate an output file format as Electronic Fund Transfer (EFT), including different encrypted security methods (if applicable) prior to be sended to the appropriate bank. This step will finish the payment cycle for Treasury department.

 

Navigation

Treasury Management ► Payments ► Finalize Transfer

 

Finalize Transfer screen Fields

Field

Description

Fiscal Year

Extract Fiscal Year. Default is current fiscal year. However users can specify the previous year as long as it is still open.

Fiscal Period

Refers to the fiscal period of the selected fiscal year. Default is current period.

Accounting Office

Refers to the institution falling under the type Accounting office applicable to the Expense Voucher.

Treasury Bank Account

Users needs to select the appropriate Treasury Bank account applicable to the Expense Voucher.

Transfer Number

The transfer number given for every finalization.

Extract number

Users are to select the appropriate Payment Extract number. 

Payment Method

The payment method for which the finalization was.

Vendor

The vendor ID against whom the transfer was finalized.

Expense Voucher

The Expense Voucher ID to be selected here.

 

View Payment Extracts

Overview

The View Payment Extract displays all information pertaining to calculation and finalization processes that have been executed. It is used to view the status of the process that was launched. It also displays any errors that occurred during the process in order to allow modifications to be performed for those employees prior to re-calculating or finalizing.

 

Navigation

Treasury Management ► Payments ► View Payment Extract

 

View Payment Extracts screen Fields

Field

Description

Id

Unique identification code, manually entered by users.

Active

If checked, indicates that payment extract is active. 

Grouped Cheques

Indicates if multiple invoices having common criteria have been grouped into one cheque. Default as defined in the Expenditures Parameters. The system must apply the following rules for grouping: same Vendor, same Treasury Bank Account ID, same Currency, and same Payment Method.

Fiscal Year

Extract Fiscal Year. Default is current fiscal year. However users can specify the previous year as long as it is still open.

Fiscal Period

Fiscal period for which the Payment Extract is to be viewed. Default is current period.

Accounting Office

The accounting office institution necessary for viewing Payment Extract. The Office code from where the payment extract was generated.

Date

Date on which the Payment Extract was generated. Default is Current date.

Created By

Users who created the Payment Extract is mentioned.

Created Payments

Number of total payments created when extract was created.

Created Amount

Total Domestic amount of payments created when extract was created.

Approved Payments

Number of total payments approved to date.

Approved Amount

Total Domestic amount of payments approved to date.

Cancelled Payments

Number of total payments cancelled to date.

Cancelled Amount

Total Domestic amount of payments cancelled to date.

Released Payments

Number of total payments released to date.

Released Amount

Total Domestic amount of released rejected to date.

Voided Payments

Number of total payments Voided to date.

Voided Amount

Total Domestic amount of released Voided to date.

Delivered Payments

Number of total payments Delivered to date.

Delivered AmountThe total amount of payments delivered to date.

Language

Country specific Language used to register the description.

Description

Short description of the Payment Extract.

Payment Extract Payment

Collection of one to many payments extract payments.

 

Payment Extract Payment

Overview

The payment approval process allows users to verify the information related to all draft payments which are contained into the Extract Payment. A decision can then be made to approve or cancel a Payment Extract. Approval affects General Ledger through automatic generation of Journal Vouchers for the payments.

The payment Extract - Payments contain the information regarding cheques or electronic transfers, and the workflow control of Extracts. A Cheque/Transfer register could be the summary of several invoices related to a single vendor.

Navigation

Treasury Management ► Payments ► Payment Extract Payment

Payment Extract Payment Fields

FieldDescription
 IdThe system generates a unique id for PEP.
Workflow StatusDepending on the Workflow Configuration Setting for this Entity the basic Stages are: Created, canceled, approval requested, etc.
Payment ExtractPayment Extract to be selected from the lookup button.
Payment MethodMethod of payment is to be selected which may be Cash, Cheque, EFT, etc.
Accounting OfficeAccounting Office Code. It is updated according to the Payment Extract Payment process.
Treasury Bank AccountTreasury Bank Account relating to Payment Extract is selected from the lookup button.
Bank AccountBank account relating to Payment Extract is to be selected from the dropdown box.
Note Reference NumberThe reference number for "payment with the note".
Note DateIt allows the user to enter the note reference date.
Is AccountingThis attribute is marked when the expense voucher to pay is configurated as "Accounting".
Bank Account NameName of the bank account is entered in this field.
BranchBranch to which the bank account relates is entered in this field.
BeneficiaryVendor to whom the Payment is made is selected from this field.
Cheque SeriesThe series to which the cheque issued belongs.
Cheque NumberCheque number which is issued.
Transfer NumberNumber identifying the transfer transaction.
Transfer Package NumberIt is updated when Allow Generate Transfer Package is set as true in the system setting.
Release DateDate on which payment is released.
Number Of ReleasesA number of times in which the total payment was released. The default value is Zero.
Printed DateIt is updated by the system. The user can't change it.
Delivered DateDate of delivery of the payment amount.
CurrencyCurrency in which the payment was made.
Exchange RateThe exchange rate on the date of payment is entered.
Domestic AmountTotal amount in domestic currency.
Foreign AmountPayment amount expressed in foreign currency.
Handling IndicatorSpecial indicator defined by the user in Expense Vouchers. Will be used to give more flexibility to group payments.
Expense Voucher ClassificationThe user can select the expense voucher classification using the drop-down button.
Created OnDate of creation of Payment Extract.
Created ByThe user who created the Payment Extract.
Approved OnDate on which the payment was approved.
Approved ByThe user who approved the payment.
Payment Journal VoucherAutomatically assigned by the system when this payment is approved
Expired Cheque Journal VoucherAfter marked as Expired Cheque the automatic JV generated will be referenced in this attribute.
Cheque Lot NumberAfter marked as part of the cheque lot the system auto-generates the number.
InvoiceList of Invoices linked with the Payment
Rejection DescriptionDescription corresponding to the rejection code received in the bank notification.
Payment InvoicesInvoices related to the payment gets added here.

 

Payment Extract Payment Target Stage

Overview

The payment Extract - Payments contains the information regarding to cheques or electronic transfers, and the workflow control of Extracts. A Cheque/Transfer register could be the summary of several invoices related to a single vendor. This screen helps to retrieve the payment extract payment details and approve those in a bulk.

 

Navigation

Treasury Management ► Payments ► Payment Extract Payment Target Stage

 

Payment Extract Payment Target Stage screen Fields

Fields

Description

Fiscal Year

Fiscal year of the Payment Extract is selected here.

Fiscal Period

Fiscal Period for the Payment Extract is selected from the drop down box.

Target Stage

The stage to which the Payment Extract is to be brought to, is selected from the dropdown box.

Payment Method

Method of Payment is to selected. Options include cash, cheque, EFT, tec.

Payment Extract

Required Payment Extract is to be selected.

Treasury Bank Account

Treasury Bank Account related with the Payment Extract is to selected from the lookup button.

Beneficiary

Vendor who will receive the payment is to be selected from the lookup button.

Currency

Currency in which the payment is to be made, is selected in this fields

Search Domestic Amount

Amount mentioned in Payment Extract in domestic currency.

Search Foreign Amount

Amount mentioned in Payment Extract expressed in foreign currency.

Total Selected Domestic Amount

Total selected amount in domestic currency in Payment Extract.

Total Selected Foreign Amount

Total selected amount in foreign currency in Payment Extract.

 

Reports

All Payment Report

Overview

Information regarding payment made on the basis of Payment Order gets generated in this report.

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Fields of All Payment Report may be described as follows:

FieldsDescription
Fiscal YearFiscal year for payment report is to be generated.
Fiscal PeriodFiscal period for which payment report is to be generated.
StatusStatus of Payment Order.
CurrencyCurrency in which the payment was made.
Domestic Amount FromStarting range of amount for filtering report in domestic currency.
Domestic Amount ToLimit up to which amount is entered for filtering report in domestic currency.
Extract NumberPayment Extract Id number required for filtering data.
Treasury Bank AccountTreasury bank account from where the payment is made.
VendorVendor to whom the payment is made.
Financial InstitutionBank/ Financial Institution from where the payment is made.
Financial Institution BranchBranch of Bank from where the payment is made.
Accounting OfficeAccounting Office related to the payment order.
Created ByUser who created the Payment Order.
Expense VoucherExpense Voucher for which the payment is made.
Payment ModeMode in which the payment is made to be selected from dropdown box.
Cheque SeriesSeries within which the issues cheque falls under.
Contract NumberContract number is to be mentioned for filtering data.
CommentComment on the Report.
Cheque From NumberCheque number of the first issued cheque required for report filtering.
Cheque To NumberCheque number of the last issued cheque required for filtering purpose.
From DateDate from which Payment made, is to be filtered for report purpose.
To DateDate up to which Payment made, is to be made
Sort BySorting on the basis of which the report is to be filtered.

 

Cash Requirement Report

Overview

Cash Requirements Report displays the cash required to pay the Epense Vouchers which have been approved for payment.

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Fields of Cash Requirements Report may be described in the following lines:

FieldsDescription
Report TypeWhther the report is a summary report or details report is selected in this field from dropdown box.
Vouchers On HoldWhether the voucher are on hold for report purpose, is mentioned.
Fiscal YearFiscal Year for Cash Requirements Report generation.
Payment Due DateDue date for payment is entered on the basis of which the report is generated.
Financial InstitutionBank from where the payment is to be made.
Financial Institution BranchBranch of bank from where the payments are to be made.
Payment DateDate of payment for Expense Voucher.
VendorVendor who shall receive the payment.
Accounting OfficeAcounting office for Payment Order.
Treasury Bank AccountTreasury bank account related with Payment Order.
Payment LocationLocation where the payment is to be made.
Payment MethodMethod of payment for Expense Voucher is selected for report generation.
Payment ModeMode of payment for Expense voucher is selected for report generation.
CommentComment for Report.
Sort BySorting the data for report generation.

 

Cheque Printing Report

Overview

Cheque Printing Report generates the information of cheques issued for payment in printed format. 

 

Navigation

Treasury Management ► Payments ► Reports ► Cheque Printing Report.

 

Fields of Cheque Printing Report

 

Field

Description

Fiscal Year

Fiscal Year to which the cheques relate, to be selected from drop down box.

Payment Extract

Payment Extract, to be selected from lookup button.

Payment Extract Payment

Payment Extract Payment, to be selected from lookup button.

Treasury Bank Account

Treasury Bank Account, to be selected from lookup button.

Payment Type

Type of Payment made, to be selected from drop down box.

Cheque Series

Serial number to which the series of Cheque belong to.

Print Cheque From

Starting Serial number of Cheque number tobe printed.

Print Cheque To

End Serial number of Cheque number tobe printed.

Accounting Office

Accounting Office to which the cheque relate, to be selected from lookup button.

Vendor

Vendor to whom the payment to be made, to be selected from lookup button.

Release Date From

Starting Release date of cheque to be selected from calendar button.

Release Date To

End Release date of cheque to be selected from calendar button.

Expense Voucher

Expense Voucher to which Cheque relates to be selected from lookup button.

Number Of Payments

Number of Payment made is mentioned in this field by the system.

Amount of Payment Domestic

Amount of payment expressed in terms of domestic currency is mentioned in this field by the system.

Amount of Payment Foreign

Amount of payment expressed in terms of foriegn currency is mentioned in this field by the system.

Payment Extract Payment Detail

Payment Extract Payment Details records matching the above filter criteria to be retrieved by clicking on Retrieve button.

 

Cheque Reprinting Report

Overview

Cheque Reprinting Report is the standard method of printing cheques or generating Electronic Fund Transfer export files which have already been released.

 

Navigation

Treasury Management ► Payments ► Reports ► Cheque Reprinting Report

 

Cheque Reprinting Report screen Fields

Field

Description

Payment Extract

Payment Extract to be selected from lookup button.

Payment Extract Payment

Payment Extract Payment to be selected from lookup button.

Treasury Bank Account

Treasury Bank Account of Expense Voucher for which Cheques are issued.

Print Cheque From

Cheque number of first cheque in the series to be re-printed.

Print Cheque To

Cheque number of the last cheque in the series to be re-printed.

Release Date From

Release date of the first cheque in the series to be re-printed.

Release Date To

Release date of the last cheque in the series to be re-printed.

Expense Voucher

Expense Voucher for which Cheque requierd to be re-printed.

 

Draft Payment Report

Overview

Information regarding Draft Payment gets generated in Draft Payment Report.

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Fields of Draft Payment Report may be described in brief as follows:

FieldsDescription
Fiscal YearFiscal year for which the Draft payment report is to be generated.
Fiscal Period FromThe fiscal period from which the report is to be generated.
Fiscal Period ToThe fiscal period to which the report is to be generated.
ExtractRelevant Payment Extract relating to which the report is to be generated.
CommentComment regarding the draft payment report is entered in this field.

 

Extract Status Report

Overview

Information regarding status of Payment Extract generated in this report.

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Fields of Extract Status Report may be described as follows:

FieldsDescription
Fiscal YearFiscal year for which the status report for Payment Extract is to be generated.
Fiscal PeriodFiscal period relting to which the the status of Payment Extract is to be generated.
Extract NumberPayment Extract Id is to be chosen from lookup button.
CommentComment on report is to be made in this field.
From DateDate from when the data for report will be filtered.
To DateDate up to when the data for report will be filtered.
Sort ByCriteria on the basis of which the data will be sorted.

 

Laos Reports

Approved Payments Batch Report

Overview

Approved Payment Extracts in Batches are displayed in this report.

 

Navigation

Treasury Management ► Payments ► Reports ► Laos Reports ► Approved Payments Batch Report.

 

Approved Payments Batch Report Fields

 

Field

Description

Fiscal Year

Fiscal Year when the payment is approved, to be selected from drop down box.

Payment Extract Number

Payment Extract to be selected from lookup button.

Treasury Office

Treasury Office to be selected from lookup button.

Payment Type

Type of Payment to be selected from drop down box.

Currency

Currency to be selected from drop down box.

Comment

Comment on the report is entered by users in this field.