Accounts Payable Process
Accounts Payable Process
September, 2002
Stop Payment
Vendor Relations
Pre-Audit
1099 Reporting
Begin
Invoice Auditing
Verify Payment
Distribute Checks
End
Return to Page 1
Yes
Sort Invoice in Alpha. Order Copy to Vendor Relations Copy to Vendor Copy to Department
Audit Invoice
No
Return Invoice to Vendor Original to Be Filed with Voucher Copy to Department Copy to Vendor If 3 Copies Received
Stop
Stop
No OK to Pay?
Yes
Route to Keying
No
Call Department
Yes
This diagram explains the invoice auditing process. The same process applies to the invoice auditing performed by delegated departments.
If blanket order is past ending date, use the 45-day rule if a new order number is not in the Purchasing System.
Begin
Yes
Partial Shipment ?
Verify Prices
No Verify Ship-To Address Agrees with PO Work Copy If Manual Written Invoice, Verify Extended and Total Amounts Deduct Sales Tax If Service Was Provided in WI Mark Payment Type in Audit Box in Green Ink (Final, Partial, Misc.) Route Invoice to Keyers
Return to Main Process Return to Invoice Auditing Sub-Main
Verify Freight Terms Record on PO Work Copy Inv #, Inv Date, Audit Date & Amount Over $500
Yes
No
No Positive Approval ? Yes Apply Sticker on Invoice Record Inv # and Routing Date on PO Work Copy
Begin
Yes
Audit Invoice
Return to AP
Main Process
Begin
No
Yes
Lead Workers Check Batch Total Release Job for Overnight Process Organize & Deliver Vouchers to Fin. Ops
Corrections OK?
No
Yes Return to AP
Main Process
Accounts Payable As-Is Invoice Processes Major Transaction Types: Editing & Check Printing Budget: 20s
First 5-digit of a VO# is List #. Batched by payment type & totals. Begin Receive Reports from DoIT From Purchasing System. Revenue: 30s Encumbrance & Reqs: 40s Payment: 50s.
Entry Change Report Discrepancy Between Req & PO Exceeds $100? Yes
Review Report
No
No
End
No
Matched?
No
Route to Supervisor
Yes
File Room Label Voucher Box File Room Mails Checks & Remittance Copy Sort Envelopes Based on Distribution List
Stuff Envelopes
International, domestic, campus mail, courier pick-up, Canada, Mexico, oversized Envelope, overstuffed Envelope, US mail pre-sorted, etc. File Room Attaches Edit & Post Exception List to Vouchers
Return to AP
Main Process
No
Check Stopped?
Yes
Keyers notify vendor if applied credit amount is more than invoice amount. (Credit memo data is maintained in Excel. Yes
Payment Correction
Applied Within 6 Months? No Vendor Relation Requests a Refund Check From Vendor
Begin
Reissue Check?
Yes
No
Check deposited to contingent fund for the correct amount, to the Req. or PO for the difference.
Deposit Check
Reissue Check from the Contingent Fund for the Correct Amount
End
10
Two checks result from VPam 1 - Reimburse Contingent Account 2 - Deposit to coding used in Contingent Fund
Enter vendor, country, amount and submit Automatically adds $5 charge - quotes are good for five minutes
To VPam
To Ruesch
Copy for V-Pam Copy for Contingent Fund Check for Ruesch - 2 lines of coding One line of coding for amount of invoices Second line of coding for charges
Wire Transfer Write check to send to Ruesch Contingent Fund is reimbursed in normal way Contingent Fund check Sent to Ruesch
Drafts
To Barb Bausch
11
Depts. Or Vendor Notify Missing Payments, Short Pays, Tax Not Paid, etc.
Need Payback or Credit? Adjust Incorrect Negative Approval Yes Fill Out Payback Form Or Credit Memo Invoice Payment Main Processes End
No
Statements Process
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Begin
Yes
No
Stop
13
Accounts Payable As-Is Processes Vendor Relations Past Due Invoice Process
Begin
Paid? No
Yes
Over 30 Days
Stop
Return to Vendor
Yes
Invoice Payment Main Processes
Prepare Form 15
End
14
Accounts Payable As-Is Processes Vendor Relations Adjust Incorrect Negative Approvals
Begin
Determine Required Action Adjust Payment Determine Type of Adjustment Transfer Between POs Prepare NonSalary Cash Transfer Form
Stop Payment
15
Begin
Yes
Yes
16
Return to Page 1
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No
OK? Yes
Other Requisitions.
Approve Requisitions
Postage Req. Verify VO Entry System Generates Voucher, Remittance Copy, Prelist in CARDS Create VO in VPAM Confirming Req w/ Invoice Attached (<$5,000) No
Fund 133 Class Codes 4Ks, 2Ks, 3221, 3227 & 3228? No
Yes
Class Code 4Ks? Yes Property Control Returns Req. Property Control Verifies Req. Route 4Ks & 2Ks to Purchasing
Issue Other Reqs. Under RSP Negotiated Contracts
Yes
Distribute Checks
End
Reference Original Equipment PO # and Property Control # if Purchase is a Component of Capital Equipment.
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End
Begin
Purchasing Creates PO
Yes
PO Required ?
Requisition Auditing
No
Any approval by RSP is routed by fax. Cash Management Issues Check From Cont. Fund
Cash w/ Order?
Yes
Route to AP Auditor
Invoice Auditing
No
Yes
End
Mail Checks
19
This process applies to direct charges for: Utilities Freight (except FedEx) Gas credit card Newspapers Subscriptions Travel agency invoices Memberships & Registrations DOA general service billing.
Deans Office Route Invoice to Pre-Audit Pre-Audit Verify the Amount Is Correct Copy Invoice to Dept. Verify Funding Code Is Correct
Begin Pre-Audit Receives Invoice from Vendor Identify Which Dept. Made the Purchase Call Dept. to Get Funding Source & Approval
Verify VO Entry
Create VO in VPAM
No
Route to RSP
Distribute Checks
End
20
Begin
No
Once a Week
Copy Bills
21
This process applies to payments to individuals for: Scholarships Travel expense Research subjects Speakers & other service providers.
Begin
Fund 133? No
Yes
Yes
Taxable Yes Payment Based on Class Code? No Match Class Code w/ Payment Purpose
RSP Approves & Returns to PreAudit Contact Dept. & Correct PIR Form
OK? Yes
No
Class Code determines following additional data needed: Home address for 1099 reporting SSN for tax reporting Visa information Copies of receipts If UW employee, whether payment should be made via payroll, etc.
Key to VPAM
No
End
Distribute Checks
Begin
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This process applies to payments for reimbursable expenses to UW and non-UW employees.
Begin
Fund 133?
Yes
Return to Dept.
Missing Receipts Yes Or Approvals? No OK to Pay? No OK? Contact Dept & Correct the Form Approve the Form Key to VPAM No Correct in VPAM Yes Yes System Generates Voucher, Remittance Copy, Prelist in CARDS
Distribute Checks
23
Begin
Fund 133? No
Yes
Verify SSN
Missing Signature ? No
Yes
Begin
OK to Pay? No
Yes
End
24
Begin
No
TA > Expense ?
Yes
Employee Submits Personal Check for the Difference Pre-Audit Route Check To CM Check Submitted ? No
Yes
End
Yes
25
This process applies to advance payments for studies & research programs and for replenishment of petty cash. Custodian: is anyone who is responsible for non-travel advance money or petty cash.
Over $5,000? No
Yes
Yes
Missing Document?
No Deans Office Submit Missing Document Yes Approve & File Copy In file Room Route Documents To Cash Management Cash Management Reviews & Approves CM Routes Check to Custodian CM Writes a Check from Cont. Fund
No
End Begin
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Begin
Dept. Approves
CM Records Exp. To Req. In EPRQ and to Non-Travel Advance System (Close If Final Payment) Non-zero $ Balance
Yes
Yes
No
Zero $ Balance AP Enters Payment In VPAM File Room Sends Check to Bank or Custodian System Generates Check Enter Payment In VPAM
Approve Payment
Verify Receipts
27
QuickFile Begin
Reports
W2: At Year-End
Assign & Edit 1042S Currently Not Being Done Monthly Edited QuickFile
Payroll File
Year-End
End
28
1099, 1042S & Supplemental W2 Reporting Additional Notes Payments are identified by the use of certain Class Codes (attached). W2 Identifier/Class Codes: 2110, 2125, 2126, 2162, 2164, 2262, 2264, 3161, 3163. 1042 Identifiers:
From PIR forms paid to non-US residents Adjust in QuickFile based on information from paid PIR forms Data edited in QuickFile: 1042S indicator (yes or no), 1042S income type, tax rate, exemption status and withhold taxes.
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