ACCOUNTS PAYABLE VENDOR SET UP#

This following describes the set up and processes that provide the ability in Wiki to handle payments to AP Vendors for selected employee deductions. Wiki provides for the creation of an ‘Interface File’ for input to an external accounts payable system. Wiki 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.

After the regular pay cycle is closed and disbursed, the UPVEND process is executed to print a report of the AP items processed. Records are created in an output file or ‘Disbursement’ records are created for subsequent ‘Check Printing’.

PAY COMPONENTS#

The Define Pay Components (IPPC) form determines which components are to be picked up by UPVEND.

The ‘Reference' field determines if a pay component should be interfaced to accounts payable.

If ‘Enter Vendor Code’ is chosen, then a Vendor Number MAY be supplied on any transaction for the pay component.

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. The number is selected from the X_AP_VENDORS lexicon.

On the PC Details Rules tab, pay components that are to be picked up for accounts payable must have a ‘PC Detail Type’ of ‘Computed Value’.

Also, as with any pay component, there can only be one ‘Computed Value’.


LEXICONS#

The IMLN Maintain Lexicon form is used to store the list of valid vendor numbers in a ‘User Defined’ lexicon with the lexicon name X_AP_VENDORS. These vendor numbers must be the exact vendor number to be passed to the external accounts payable system when the interface file is created.

This list should contain only those vendors that will be used in Wiki, and not the entire list of AP vendors.

Both the ‘Display Value’ and the ‘Meaning’ should contain the vendor name.


USER FIELDS#

The ‘POSTED UPVEND’ user field must be set up in the Define User Fields (IMUF) form. The user field must be attached to the table P2K_PR_PAY_HEADERS.

The user field ‘UPVEND DESCRIPTION’ must also be set up and attached to the table P2K_PR_SUNDRY_LINES, if you require access to the variable (Sundry Description). This could be used for any piece of information (such as Case Number) and is entered in the normal manner via the ‘User Field’ button.


TRANSACTIONS#

Recurring AP transaction can be entered on the Sundry screen (IPSN) or entered individually as transactions in IPPH. The vendor number is supplied on the ‘Line Info’ tab.

If you choose to pay vendors using Wiki, then you will need a ‘Vendor Check’ written to support UPSTUBVCW (Print Vendor Check). To pay vendors within Wiki set up the vendor as an ‘Employee’ use ‘V’ plus the vendor number as the person code.

Pay Header/Transactions - IPPH
The IPPH screen behaves in much the same manner as the Sundry (IPSN) screen. The reference will contain either nothing or a valid ‘Vendor Number’.

Normally AP transactions will be entered as sundry deductions, but like any other sundry item, they can also be entered directly as transactions.


PRINTING VENDOR CHECKS OR DIRECT DEPOSITS#

Wiki can be used to print a check or create a direct deposit for a vendor by setting up the vendor as an employee.

If printing vendor checks or creating a direct deposit, then you must set up a separate:

  • Payroll
    • The payroll can share a check series with the regular payroll, or use a separate series. The pay calendar of this payroll must be the same as the pay calendar of the employees.
    • When UPVEND is executed, it uses the pay calendar.
  • Unit
  • Group
  • Job
  • Location
  • Department

When UPVEND is executed, Wiki decides whether a vendor is written to the output flat file, OR creates a disbursement record for check printing OR creates a direct deposit.

This decision is made by looking for an employee with a ‘Person Code’ equal to the letter ‘V’ plus the vendor number.

For example, if the vendor number is 45576, then UPVEND looks for an employee with the person code ‘V45576’. If located, then a disbursement is created.

Ensure that if sequencing is on for ‘Person Code’ in IMCS, that you allow for manual entry.


INTERFACE FORMAT - AP INTERFACE#

If not already defined in the Interface Formats Definition (IDIF) form, load the standard interface file format using the starter_idif_hl$ap.sql script.

Modify the standard UPVEND file to bank requirements using the IDIF function. Rename the code from HL$UPVEND or HL$AP to a user-defined code.

The following is a sample of a file that could be created from UPVEND.

Record Field Start
Position
Ending
Position
Name Variable
Number
Notes
1 1 1 1 Record Type Constant Value = 1
1 2 2 26 Invoice Number Invoice
Number
A combination field
of 'eP plus the EE
number plus the
Pay Number'
1 3 27 56 Set of Books Name Enter in Constant
Value
1 4 57 67 Accounting Date Accounting
Date
Accounting Date
from UPAP
1 5 68 78 Invoice Date Invoice Date Pay Issue date from
IPPH for transaction
1 679 108 Description of Invoice Enter in Constant
Value
1 7 109 128 Invoice Amount Invoice
Amount
Amount from IPPH
for transaction
1 8 129 178 AP Code Combination AP
Distribution
Mask
AP Liability
Distribution Code
from UPAP
1 9 179 208 Vendor Number Vendor
Number
Vendor Number
from IPPH
Reference field
1 10 209 238 Vendor Site Name Enter in Constant
Value
2 1 1 1 Record Type Constant Value = 2
2 2 2 26 Invoice Number A combination field
of 'eP plus the EE
number plus the
Pay Number'
2 3 27 36 Line Number Constant Value = 1
2 4 37 66 Set of Books Name Enter in Constant
Value
2 5 67 86 Amount Invoice
Amount
Amount from IPPH
for transaction
2 6 87 116 Line Description Line
Description
Pay Component
and Description
2 7 117 126 Currency Code Enter in Constant
Value
2 8 127 136 Line Type Enter in Constant
Value
2 9 137 186 Expense Code
Combination
Distribution code for
transaction
2 10 187 199 Pay Period Begin Date Period Begin
Date
Pay Period Begin
Date from IPPH
2 11 200 212 Pay Period End Date Period End
Date
Pay Period End
Date from IPPH
2 12 213 218 Fiscal Period Fiscal Period Fiscal Period from
IDCL of the Pay
Period End Date
2 13 219 231 Fiscal Period Begin
Date
Fiscal Period
Begin
Fiscal Begin Date
from IDCL for Fiscal
Period
2 14 232 244 Fiscal Period End
Date
Fiscal Period
End
Fiscal End Date
from IDCL for Fiscal
Period
2 15 245 257 System Date System Date Date on server
when the update is
run
2 16 258 263 Pay Period Pay Period Pay Period from
IPPH

PROCESSING ACCOUNTS PAYABLE USING UPVEND#

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.

The following setup determines if the UPVEND will report a deduction:

  1. All PC’s that must be processed by UPVEND must have on the IPPC - PC DETAILS tab, the REFERENCE set to ‘Enter Vendor Code’ and on ACCT/ARREARS tab, the AP VENDOR must contain a Vendor name.
  2. Pay Amounts to be sent to a Vendor that are created by Non-Sundry (Benefits, UserCalcs, etc) will get processed and sent to the AP Vendor that is on the PC by UPVEND.
  3. Sundry amounts that are to be processed by UPVEND, must have the PC setup as described in point 1, 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.
  4. 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.

When pay transactions are processed by this function, they will have a user field named ‘POSTED UPVEND’ attached to the pay header. This will prevent the transaction from being picked up again in future executions.

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).

You must set up the proper accounting entries on the pay components directly through IPPC. Instead of crediting the amount to a liability account, the amount will be credited directly to the cash/bank account. There will not be an in/out entry in the liability.

Example:

DR CR
Gross Wages $500.00
Taxes $150.00
Cash/Bank $350.00

Typically, the taxes would be credited to a liability account. Once paid through the financial system, the entry would be debited to the liability account and credit the cash/bank account.

When using UPVEND, the liability is 'cleared' right away. Therefore, the client would not send the taxes to a liability account, the amount would be posted directly to the Cash/Bank account.

DR CR
Gross Wages $500.00
Cash/Bank (Taxes) $150.00
Cash/Bank $350.00

The Transaction Audit (UPAUDT) report will print the vendor number and vendor name on transactions that have the Vendor/Reference field completed on IPSN or IPPH.

The pay category and pay period are required ONLY if disbursements will be created for vendor checks. This process will direct each vendor either to the output flat file or to a disbursement record.

A disbursement is created to print a check for the total of the vendor on the output report.

A pay header is also created and marked as closed and posted to the GL.

The pay issue date for any vendor checks created is entered as a report parameter.

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.

If the client does not use UPSTUBC/UPSTUBD, then they can create an interface file to their check program in the same way that they print checks for employees. This is normally done with Generate Disbursement Interface File (UPDIF) function.

The parameter “Payroll” refers to the payroll that was paid and disbursed which includes the EE payroll form where the vendor deductions are taken, not the actual vendor payroll.

Undo A Vendor Run#

If an entire vendor run needs to be backed out, then it must first be undone to be able to rerun UPVEND. The vendor run may be undone through the UPUNVEND form.

Everything updated by the original execution of UPVEND will be backed out with the exception of check numbers. Any check number used up in the ‘Check Form Range’ will not be released. This is a security check, since the original UPVEND could be using numbers already in the past.


Notes #

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