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At line 4 changed one line
This following describes the set up and processes that provide the ability in [{$applicationname}] to handle payments to AP Vendors for selected employee deductions. [{$applicationname}] provides for the creation of an ‘Interface File’ for input to an external accounts payable system. [{$applicationname}] also provides for the ability to print checks for vendors with the same program that prints the regular employee checks. The choice to interface, or print a check is at the vendor level.
This following describes the set up and processes that provide the ability in Personality to handle payments to AP Vendors for selected employee deductions. Personality provides for the creation of an ‘Interface File’ for input to an external accounts payable system. Personality also provides for the ability to print checks for vendors with the same program that prints the regular employee checks. The choice to interface, or print a check is at the vendor level.
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On the ‘Accts/Arrears’ tab, record the default Vendor Number. If this is left blank, then the vendor number must be entered on each appropriate transaction for this [pay component|PAY COMPONENTS]. The number is selected from the [X_AP_VENDORS] lexicon.
On the ‘Accts/Arrears’ tab, record the default Vendor Number. If this is left blank, then the UPVEND will NOT process the PC and report it a vendor. The Vendor number is selected from the [X_AP_VENDORS] lexicon.
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This list should contain only those vendors that will be used in [{$applicationname}], and not the entire list of AP vendors.
This list should contain only those vendors that will be used in Personality, and not the entire list of AP vendors.
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If you choose to pay vendors using [{$applicationname}], then you will need a ‘Vendor Check/Deposit’ written to support [UPSTUBV] (Print Vendor Check). To pay vendors within [{$applicationname}] set up the vendor as an ‘Employee’ use ‘V’ plus the vendor number as the person code.
If you choose to pay vendors using Personality, then you will need a ‘Vendor Check’ written to support [UPSTUBVCW] (Print Vendor Check). To pay vendors within Personality set up the vendor as an ‘Employee’ use ‘V’ plus the vendor number as the person code.
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[{$applicationname}] can be used to print a check or create a direct deposit for a vendor by setting up the vendor as an employee.
Personality can be used to print a check or create a direct deposit for a vendor by setting up the vendor as an employee.
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When [UPVEND] is executed, [{$applicationname}] decides whether a vendor is written to the output flat file, OR creates a disbursement record for check printing OR creates a direct deposit.
When [UPVEND] is executed, Personality decides whether a vendor is written to the output flat file, OR creates a disbursement record for check printing OR creates a direct deposit.
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\\ \\
__NOTE:__ UPSTUBVCW must be used for NG 5.00+. UPSTUBCW will work for 4.11/4.50 for vendor checks.
\\ \\
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|2| 16| 258| 263| Pay Period |Pay Period| Pay Period from\\IPPPH
|2| 16| 258| 263| Pay Period |Pay Period| Pay Period from\\IPPH
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The [UPVEND] function is run to create anAccounts Payable (AP) interface file. This can only be launched after all pay runs for the given payroll period are closed ([UPCLOZ]). This function provides a detailed list of all AP invoices to be exported to an interface file named in this function.
The [UPVEND] function is run to create an Accounts Payable (AP) interface file. This can only be launched after all pay runs for the given payroll period are closed ([UPCLOZ]). This function provides a detailed list of all AP invoices to be exported to an interface file named in this function.
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The following setup determines if the UPVEND will report a deduction:
# All PCs that are to be processed by UPVEND must have on the IPPC – PC DETAILS tab, the REFERENCE set to ‘Enter Vendor Code’ and on the ACCT/ARREARS tab, the AP VENDOR must contain a Vendor name.
# Pay Amounts to be sent to a Vendor that are created by Non-Sundry (Benefits, UserCalcs, etc.) will get processed by UPVEND and sent to the AP Vendor that is setup on the PC.
# Sundry amounts that are to be processed by UPVEND must have the PC setup as described in Point 1 above, as well as have a Vendor code entered in the Reference field on the IPSN record. If the IPSN does not have a Vendor, it is considered to be an adjustment for the employee and will not be processed by UPVEND.
# If there is no Vendor entered on the IPPC (in the AP Vendor field) for a Pay Amount or Sundry, it will not be processed by UPVEND.
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When using eP to create checks versus sending the information into an Accounts Payable system, the [UPVEND] process does not create any additional General Ledger journal entries. The journal entries must be created by the Payroll General Ledger interface program ([UPGL]).
When using Personality to create checks versus sending the information into an Accounts Payable system, the [UPVEND] process does not create any additional General Ledger journal entries. The journal entries must be created by the Payroll General Ledger interface program ([UPGL]).
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Checks can be printed for AP Vendors by executing [UPSTUBC] immediately after [UPVEND]. If a custom vendor check has been designed [UPSTUBVC] would be executed instead of [UPSTUBC] immediately after [UPVEND].
Checks can be printed for AP Vendors by executing [UPSTUBC] immediately after [UPVEND]. If a custom vendor check has been designed [UPSTUBVCW] would be executed instead of [UPSTUBC] immediately after [UPVEND].
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![Notes|Edit:Internal.ACCOUNTS PAYABLE - UPVEND]
[{InsertPage page='Internal.ACCOUNTS PAYABLE - UPVEND' default='Click to create a new notes page'}]