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Welcome to the Business Users Group

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Today's Agenda. Announcements. Presentations. Budget Status. Reports. Payment Details ... instructions for running the AP Payment History Detail report in the Accounts ... – PowerPoint PPT presentation

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Title: Welcome to the Business Users Group


1
Welcome to theBusiness Users Group
  • Wednesday, November 29, 2006
  • 900am 1100am

2
Todays Agenda
  • Announcements
  • Presentations
  • Budget Status
  • Reports
  • Payment Details
  • Detailed Payment Register
  • Received/Vouchered Status
  • Cash Status with AR
  • QA Session

3
Announcements
  • DAS and APA
  • Choosing Object Codes
  • Ability to view outstanding IBTs
  • Personal Vehicle use
  • Mileage Rate going up next year
  • Thank you CAFR reports

4
Budget Status
5
Budget Status
  • How to enter the numbers correctly
  • How to determine where the numbers came from
  • How to change the amounts entered

6
How to Enter the Numbers Correctly
  • First Method Enter/Revise Final Approved Budget
  • See Enter/Revise Final Approved Budget work
    instructions in the NIS Budget Training Manual.

7
Ex. 56650
Ex. 06
BF
S
Ex. BUAPPROP
  • Complete highlighted fields
  • Click Find

8
  • Choose appropriate business unit
  • Click Select

9
  • Checkmark Show Periods and choose Requested
  • In the grid, complete the Requested Amount field
    for each object code desired
  • Click OK

10
How to Enter the Numbers Correctly (cont.)
  • Second Method Journal Entry in the BF Ledger
  • Determine the amounts and account numbers to be
    reflected in your budget status.
  • Transfer the information into a Journal Entry.
    (See work instructions for Entering Journal
    Entries in Debit/Credit Format in General
    Accounting manual.)
  • Change the ledger type to BF for Budget Status.
  • Enter Amounts. Any Credits would not have a
    leading negative.

11
How to Enter the Numbers Correctly (cont.)
  • Second Method Journal Entry in the BF Ledger
    (cont.)
  • Enter the appropriate Budget Subledger
  • BUAPPROP (Annual Appropriation) new
    appropriation
  • BUREAPPR (Re-appropriation)
  • BUTRANSF (Budget/Appropriation Transfer)
  • BUENC (Encumbrance Rollover)
  • Enter S for Subledger Type
  • Complete Remark Field

12
How to Enter the Numbers Correctly (cont.)
  • Remember
  • A journal entry load into your Budget Status
    (second method) WILL NOT be displayed in the
    Manual Enter/Revise Final Approved Budget in
    NIS. It will appear blank.
  • Problems with current Budget Status Manual Entry
  • Limited to the Subledger identified in the
    Header.
  • The Journal Entry does not show up in the Manual
    Entry field.
  • Incidents of data entry being lost.

13
  • Journal Entry example

14
How to Determine where the Numbers Came From
  • Checking your Budget Status
  • See Trial Balance by Subledger Inquiry work
    instructions in the NIS General Accounting
    Training Manual.

15
  • Complete the highlighted fields
  • Click Find
  • Determine the G/L YTD Balance for the subledger
    of the object selected

16
How to Determine where the Numbers Came From
  • Trial Balance by Subledger is the only inquiry
    that shows which Subledger (BUAPPROP, BUENC, etc)
    the Budget amount is identified.
  • Remember
  • Change the ledger type to BF for Budget Status.
  • Thru Date should reflect 6-30-07. This
    calculates a full year.
  • Problems with this inquiry
  • Cannot enter program, only Business Unit or Fund.
  • Lists all Business Units by Subledger so you may
    need to export to excel and complete total
    calculations.

17
How to Change the Amounts Entered
  • First Method Enter/Revise Final Approved Budget
  • Enter amounts as noted above using the same
    method as How to enter the numbers correctly.
  • Be sure and click the Show Periods box before
    you make your corrections.
  • Overwrite the previous Requested Amount. Do
    not put in the difference.
  • To ensure that the new amount was accepted, you
    should see your monthly periods update. If the
    periods add up to the old amount, the show
    periods box was not click prior to the update to
    the Requested Number.

18
How to Change the Amounts Entered
  • Second Method Journal Entry in the BF Ledger
  • Determine the difference between the original
    amount and the new amount and enter that amount
    as a Journal Entry to the BF Ledger using the
    same method as identified above.
  • Be sure and approve and post any journal entries.

19
RUG Update
20
RUG Update
  • Quick Reference Card (QRC) available on website
  • AP Payment History Detail
  • Detailed Payment Register

21
  • Run the AP Payment History Detail report to
    review payment information for vendors.
  • This report includes information for your agency
    only. If vendors need information on an entire
    payment, direct them to Nyla Thomsen in State
    Accounting (471-0611).
  • View the work instructions for running the AP
    Payment History Detail report in the Accounts
    Payable manual on the NIS website.

22
  • If running report by payment number, enter the
    number the right operand field in the first row.
  • If report is not run by payment number, delete
    the first row of data selection and narrow report
    using the following options
  • Payee
  • Date Range

23
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24
  • Run the Detailed Payment Register report to
    review a summary of expenditure documents for
    your agency.
  • View the work instructions for running the
    Detailed Payment Register report in the Accounts
    Payable manual on the NIS website.

25
  • Leave Data Selection as is
  • This report can be narrowed by
  • Business Unit
  • Fund

26
  • Complete the following
  • Agency Number 3-digit agency number
  • Century
  • Fiscal Year
  • Period Number

27
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28
Received/Vouchered Status Report
29
  • Run the Received/Vouchered Status Report to
    review detailed information about outstanding
    purchase order encumbrances.
  • Received/Vouchered Status Order Totals
  • Received/Vouchered Status Supplier Totals
  • View the work instructions for running the
    Received/Voucher Status report in the Accounts
    Payable manual on the NIS website.

30
  • Enter the Agency Number.
  • This report can also be narrowed down by
  • Business Unit
  • Fund
  • Purchase Order Number

31
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32
  • Run the Cash Status with AR report to review cash
    summary (current balance, less total cash
    required, plus incoming cash)
  • View the work instructions for running the Cash
    Status with AR report in the General Accounting
    manual on the NIS website.

33
  • Enter the Fund number(s).

34
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35
  • Questions

36
Thank you for coming!Please remember to fill
out an evaluation!
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