You use this program to maintain the integrity of the data in your Accounts Payable module, to close the current month and open up a new month for processing your accounts payable transactions and to delete accounts payable information that is no longer required in the system.
This is achieved through the following functions:
Field | Description |
---|---|
Start Processing | Select this to begin processing the function you selected. |
Select this to print the information currently displayed in the Report output pane. | |
Save Form Values | This option is only enabled in Design mode (see Automation Design). Your selections are saved and applied when the program is run in automated mode. |
Field | Description | ||||||||||||||||||
---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|
Control details | |||||||||||||||||||
Current month number | This indicates the current month number of your Accounts Payable module. | ||||||||||||||||||
Period end date | This indicates the period end date for the current month as defined on the Periods tab of the Accounts Payable Setup program. | ||||||||||||||||||
Processing options | |||||||||||||||||||
Function | Indicate the processing function you want to
perform.
|
||||||||||||||||||
Set 1099 accumulated net payments to zero |
Select this to save the current accumulated net payments to the previous year before setting the current value to zero. This function updates the previous years' accumulated gross payments with the value for the current year and sets the current year's value to zero. Accumulated gross payments relate to the payments made to your suppliers for goods and services as indicated by the AP 1099 Label Print program. 1099 labels are documents used to report miscellaneous income to the Internal Revenue Services (IRS). Each time you pay a supplier for goods or services, the payment value is accumulated. At the end of the year you print a 1099 label (indicating the total payments you have made to the supplier) which is sent to the IRS. Similarly, the supplier submits documentation to the IRS indicating how much money he has been paid. The IRS tallies the 1099 label with the documentation submitted by the supplier in order to establish whether a supplier is declaring all the money that he has been paid. This function only applies if the nationality code assigned to your SYSPRO installation is defined as USA (System Setup). |
||||||||||||||||||
Reset lowest unprocessed journal |
Select this to locate the earliest Accounts Payable journal that has not been posted. The AP Invoice GL Integration program creates and/or posts General Ledger journals from Accounts Payable transaction journals according to your General Ledger Integration settings. The AP Invoice GL Integration program uses the lowest unprocessed Accounts Payable journal number as a starting point to create/post these General Ledger journals. Selecting this option therefore ensures that no Accounts Payable journal is skipped when the General Ledger journals are created/posted for the Account Payable module. This option is only available when you select to process a Balance function. This function can also be performed using the GL Integration Utility program. |
||||||||||||||||||
After processing completed | These options are displayed within programs that can be automated. They enable you to indicate the action you want to perform once processing is complete (see Automation Design). | ||||||||||||||||||
Purge details | These details relate only to the
Purge function and are displayed for
information purposes only. Refer to Purge for additional information. |
The information in this pane is displayed once processing is complete, providing you did not select the option: After processing completed > Close this application.
The results of processing the function you selected are displayed.
You use the After processing completed options to print or email this information.
The system performs the following routine for a Balance:
For each supplier invoice, the current balance is recalculated from the original invoice amount plus any payment transactions made against the invoice.
If there is any change to the current balance, a line is printed for the invoice indicating that a change has been made.
If you select the Remove payment release information option, any invoices with a released status are reset to a normal status. In addition, the next payment number for each invoice is recalculated based on the number of payments held on file for the invoice.
If you select the Reset lowest unprocessed journal option, then the following fields/columns are updated in the Accounts Payable Control file/table (APSCTL/ApControl):
Field | Column | Description |
---|---|---|
APSCTL-VJ-YEAR | LowUnpJnlYear | Lowest unprocessed expense journal number year |
APSCTL-VJ-MONTH | LowUnpJnlMonth | Lowest unprocessed expense journal number month |
APSCTL-VJ-JNL | LowUnpExpJnl | Lowest unprocessed expense journal number |
APSCTL-VE-EXP-YEAR | UnpExpYear | Lowest unprocessed G/L year for A/P expense distribution |
APSCTL-VE-EXP-PRD | UnpExpPeriod | Lowest unprocessed G/L period for A/P expense distribution |
APSCTL-VE-DSB-YEAR | UnpDispYear | Lowest unprocessed G/L year for A/P disbursement distribution |
APSCTL-VE-DSB-PRD | UnpDispPeriod | Lowest unprocessed G/L period for A/P disbursement distribution |
For each supplier, the current balance is recalculated from the sum of the current balances of the invoices on file. If there is any change to the current supplier balance, a line is printed for the supplier indicating that a change has been made.
The current Accounts Payable balance is recalculated from the sum of the current balances of all suppliers on file. If there is any change to the current Accounts Payable balance, a line is printed indicating a change has been made.
The current balance of any foreign invoice is converted to local currency when recalculating the current Accounts Payable balance.
The system performs the following routine for a Month end:
If you enabled the option: Permanent entries required (Accounts Payable Setup - General tab) then the indicator determining whether entries have been posted this month is reset to No for all permanent entries that are not temporary and which have not expired.
For this reason, it is important that you run the AP Permanent Entries Posting program before the month end, to ensure that all permanent entries for the month have been posted.
The value held against invoices, suppliers, and the control record are balanced.
Any zero balance consolidated invoice (i.e. where the invoice number begins with an asterisk *) is deleted from each supplier, if the invoice balance is zero for the current and two previous periods.
If you enabled the option: Consolidate invoices by due date at month end (Accounts Payable Setup - General tab) then all invoices for a given supplier are sorted into the month and year in which they are due. For each group of invoices, the original amount, original discount amount and invoice balance for the current and previous two periods are accumulated. All the original invoices and all associated payments, adjustment, debit notes, credit notes, multimedia and invoice notes are then deleted.
A new single invoice is created for each due month and year with an asterisk (*) as the first character of the invoice number followed by a number, starting from 01 upwards. The invoice date is set as the first day of the due month and year. The due and discount dates are set to the last day of the due month and year. The accumulated invoice amount, discount amount and invoice balances are written to the new invoice.
|
The 12 months' purchase history for each supplier is rolled forward 1 month.
The month-to-date merchandise, freight, and other charges are totalled to give the new first month's purchase history value.
All month-to-date fields held against each supplier is set to zero.
The number of months that any supplier has had a zero balance is incremented by 1.
The Accounts Payable control record is updated as follows:
The system performs the following routine for a Year end:
All the steps outlined in the Month End routine are processed.
For each supplier, the year-to-date fields are moved to the previous year-to-date fields, and all year-to-date fields are set to zero.
The Accounts Payable control record is updated as follows:
A purge can be run together with either a month end or year end, or as a separate process.
The system performs the following routine when doing a Purge:
If Accounts Payable is linked to General Ledger in detail or summary (General Ledger Integration) then expense journals and disbursement entries are deleted as follows:
Expense journals are deleted if they meet the following conditions:
the General Ledger journals for the expense journals have been created (AP Invoice GL Integration)
Disbursement entries are deleted if they meet the following conditions:
If Accounts Payable is not linked to General Ledger, then all expense journals and disbursement entries are deleted.
Temporary suppliers are deleted only if they match the following conditions:
All custom form data, notes and addresses associated with the supplier are removed.
This deletion of temporary suppliers is not recorded as a supplier amendment and is therefore not included in the Supplier Amendment Journal report.
Permanent entries are deleted if they have been posted and they have either expired or are temporary (see Browse on AP Permanent Entries).
Zero balance invoices are deleted if the year and month in which the invoice balance became zero is earlier than the Number of months to retain - Zero balance invoices entry (Accounts Payable Setup - History tab). Any payments, adjustments, credit notes, debit notes, multimedia and notes associated with the deleted invoices are also removed.
Withholding tax information is deleted according to the retention period defined for Payment cycle details (Accounts Payable Setup - History tab).
Checks that have been issued are deleted according to the retention period defined for Payment cycle details (Accounts Payable Setup - History tab) and is based on the Payment month and Payment year in which the check was paid.
A check is only deleted if the payment run in which it was issued is in a status of Complete.
In addition, if Accounts Payable is linked to Cash Book (Accounts Payable Setup - Integration tab), then the check must be reconciled before it will be deleted.
A report is printed with a summary for each file processed, indicating:
the number of void payment runs deleted (i.e. the number of Void checks payment runs)
It is strongly recommended that you take a backup of your data before processing a Month end, a Year end, a Purge or Set 1099 accumulated net payments to zeros.
Electronic Signatures provide security access, transaction logging and event triggering. This enables you to increase control over your system changes.
Access to the following eSignature transactions within this program can be restricted at Operator, Group, Role or Company level. You configure this using the Electronic Signatures program.
eSignature Transaction | Description |
---|---|
AP Month-end performed |
Controls access to the Month-end processing function of the AP Period End program. |
AP Year-end performed |
Controls access to the Year-end function in the AP Period End program. |
AP Purge performed |
Controls access to the Purge processing function in the AP Period End program. |
AP Balance function performed |
Controls access to the Balance processing function in the AP Period End program. |
AP 1099 zeroize performed |
Controls access to the 1099 zeroize function of the AP Period End program. |
Inserting Application Help
You would typically follow this procedure to display help for the current program in a customized pane that can be pinned to the program window.
Information includes step-by-step instructions for the various functions available within the program, including a brief overview of what the program does, what setup options are required and how to personalize the program.
Open the program for which you want to insert application help into a customized pane.
This functionality is only available for a program that has panes.
Right-click any form field.
You can also click the triangle menu icon that appears in the title area of a pane.
Select Insert Application Help from the context-sensitive menu.
The application help appears in a pane within your program. You can reposition the pane using the docking stickers or pin it to the program window.
Removing the Application Help pane
If you no longer want to display application help in a pane for your current program, you can simply remove it.
Select the Close icon in the right-hand corner of the application help pane.
Confirm that you want to delete the pane.