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Online Journal Entry. Finance Business Solutions. Shaleen Batra Finance Business Solutions – User Support & Training. Agenda. Overview Creating and Editing Journals Attaching Supporting documents Approval and Posting Scenarios Journals with Error Deleting and Copying Journals.
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Online Journal Entry Finance Business Solutions Shaleen Batra Finance Business Solutions – User Support & Training
Agenda • Overview • Creating and Editing Journals • Attaching Supporting documents • Approval and Posting • Scenarios • Journals with Error • Deleting and Copying Journals
Manual Journals • There are two ways to process Manual Journals
Enter journal with appropriate supporting documentation attached • Enter journal with appropriate supporting documentation attached Manual Journal Option A Manual Journal Option B • Notify Reviewer • Submit for Approval ENTERER ENTERER Overview REVIEWER • Approve & Post Journal • Approve and Post Journal • Review Journal and notify enterer • Submit for Approval MANAGEMENT ACCOUNTANT ENTERER MANAGEMENT ACCOUNTANT
L30 and L50 forms L30 Two lines: One Debit and One Credit L50 Multiple lines Instead of completing L30 and L50 forms – enter Journals directly in NS Financials Online Journal should only be used for Max 10 lines. For more than 10 lines Spreadsheet journal should be used.
Business Unit: UNSWA Journal ID: NEXT Date: Current Date
Header – Enter a journal long description, change the Ledger Group if necessary, use the journal source as ONL unless otherwise instructed and add attachments • Lines- enter your journal lines. • Totals - ensure your journal line totals balance to zero (i.e., your debits should equal your credits). • Errors - check your journal errors (useful only after you have edit checked the journal). • Approval – approvers use this tab to approve or deny the journal. • Approvers – select the person who is responsible for approving the journal.
Long Description • What- is being transferred/ corrected • Where - it is being transferred to/from • Why- the original transaction was incorrect • Who- is requesting and who is approving the journal • When- what timeframes are the journal in relation to • How- what supporting documentation there is to substantiate the reason for a manual journal e.g. reference to emails, reports, invoices, drill-downs 50 characters
Attachments Attach any supporting documents relevant to the journal • Correction Journals should have a document that shows the original entry (nVision reports) • Transferring a group of expenses must have drilldown as backup • Multiple attachments can be uploaded
Line Item Description The line description should clearly explain each journal line item and should contain enough relevant information for stakeholders to identify what the line item relates to Example A: • COR 6441 to 6486 Example B: • TRF Salary S BATRA SSIS to OP001 It is up to the discretion of the relevant Finance teams within each Faculty/Division as to the application of naming conventions in the Line Item Description, however Finance recommends to use the naming convention given on the next slide;
Scenarios • Expense Account – Journal Entry to transfer from PS30614 to PS24321 1 Expense Account Journal – Expense was coded to PS30614 which is incorrect project. It should have been coded to PS26329. • Expense Account – Journal Entry to transfer from PS19433 to PS26329 (refer to scenario sheet) 2 Revenue Account – Journal Entry to transfer from PS19319 to PS19317 (refer to scenario sheet) 3
Enter journal with appropriate supporting documentation attached • Enter journal with appropriate supporting documentation attached Manual Journal Option A Manual Journal Option B • Notify Reviewer • Submit for Approval ENTERER ENTERER Approval Options REVIEWER • Approve & Post Journal • Approve and Post Journal • Review and notify enterer • Submit for Approval MANAGEMENT ACCOUNTANT ENTERER MANAGEMENT ACCOUNTANT
Pending Approval ///
Enter journal with appropriate supporting documentation attached • Enter journal with appropriate supporting documentation attached Manual Journal Option A Manual Journal Option B • Notify Reviewer • Submit for Approval ENTERER ENTERER Approval Options REVIEWER • Approve & Post Journal • Approve and Post Journal • Review and notify enterer • Submit for Approval MANAGEMENT ACCOUNTANT ENTERER MANAGEMENT ACCOUNTANT
Option B*: Send for Review * Refer to slide 5 for more information on Options
Option B*: Journal Review Either inform the enterer via notify button or send an email via outlook //
Journal Approval Menu for Approvers
Post Journal Approver to Post ///
Journals with errors Contact your Management Accountant http://www.fin.unsw.edu.au/InformationCentre/WhoCanHelp.html#8
Deleting Journals Journals cannot be deleted once posted to the Ledger. Create another journal to correct the error
Journal Entry and Approval Enter journal Long Description Add attachments Enter Journal Lines Select Approver Save Journal Edit Journal Process Notify or Submit for approval If Notifying reviewer then submit later Journal Enterer Workflow will be sent to the Approver Workflow will be sent to the Reviewer Journal Reviewer • Review Journal – Link in the email • – Check accounting and Chartfields • Review supporting documents • Once reviewed inform journal enterer via email or notify button Journal Approver • View Journal for Approval – Link in the email • – Worklist • – Journals/ Journal Entry/ Manage Journal Approver • Check accounting and Chartfields • Review supporting documents • Approve Journal • Post Journal ////
Who Can Help? For any Accounting Assistance contact your Management Accountant or Finance Manager
User Support & Training • Finance Website – Training https://www.fin.unsw.edu.au/NSF_KnowledgeBase/FKB_Training.html • Training Enquiries • Ext. 53550 / 57665, Email fti@unsw.edu.au