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Credit Card Journal Entry Training in People Soft Financials

Credit Card Journal Entry Training in People Soft Financials. Log in to People Soft Financials. Navigating in People Soft Financials. Navigation in People Soft Financials. Before clicking on “Add” make sure you select the date of the settlement/batch report NOT date of sale.

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Credit Card Journal Entry Training in People Soft Financials

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  1. Credit Card Journal Entry Training in PeopleSoft Financials Office of the Controller

  2. Log in to PeopleSoft Financials Office of the Controller

  3. Navigating in PeopleSoft Financials Office of the Controller

  4. Navigation in PeopleSoft Financials • Before clicking on “Add” make sure you select the date of the settlement/batch report NOT date of sale. • Once date is selected click on “Add” Date of Settlement/Batch Click here after selecting the date Office of the Controller

  5. Journal Header • Long Description: • Name of Department • Date of settlement/batch • Brief description of sale • Net amount of sale/refunds • Type of credit card • AMEX • VISA/MASTERCARD/DISCOVER • Ledger Group: • ACTUALS (should be already selected for you) • Source: Your Department (max of 3 letters) • (You can click on the magnifying glass to search for the name, but this field should be automatically filled in to minimize errors) • Journal Class: • please select one of the two credit card types • Visa/MasterCard/Discover • American Express Office of the Controller

  6. Screen Shot of Journal Header Long description must have 5 items ACTUALS 3 letters AMEX VIS/MC/DSC Office of the Controller

  7. Journal Lines • Effective July 1st, 2013 due to the Cash Consolidation Project all cash accounts will be centralized into one activity number (1104120007). As of July 16th there will be a rule placed in the system and it will give you an error if not recorded properly. Changes are below: • Speed Type: • In line 1 in the empty box type in activity # 1104120007 • In line 2 in the empty box type in your department activity number (10 digit number) • Account • In line 1 in the empty box type in the five (5) digit number of the Merchant account (112003) • In line 2 in the empty box type in the revenue account that best describes your sale collected. All revenue accounts start with 6xxxx • Amount: • For a sale you must type in the total sale amount as a positive • For a refund you must type the refund amount as a negative (-) • Click on the plus sign (+) to add an extra line. Office of the Controller

  8. Journal Lines Cont. Effective July 1st, 2013 due to the Cash Consolidation Project the Sales Tax account 611001 will be deactivated and replaced with 311315 and activity number 1104140007 will also be deactivated and replaced with 1104120007. As of July 16th there will be a rule placed in the system and it will give you an error if not recorded properly. Changes are below: Sales Tax If recording Sales Tax you must use the Sales Tax Department ID and GL Liability account: 1104120007 311315 Using Miscellaneous Revenue Account 619099 It is preferable not to use account 619099. If you record the sales in GL Revenue account 619099 please send an email to jcancino@fiu.edu explaining why the department needs to use that account instead of a more specific account. Office of the Controller

  9. Screen Shot of Journal Lines 10 digit number Click to add line 5 digit number If sale + w/112003 If refund – w/112003 New sales tax account 311315 replacing 611001 Office of the Controller

  10. Saving and Processing Journal Lines • Once you have recorded the net amount of sales with the correct GL Revenue accounts save the journal lines and the system will give you a journal number. • You will notice that Intra-Unit Cash account 112009 will appear in your journal. This is due to the changes of the Cash Consolidation Project. Since the cash will be recorded in a different activity number than the revenue the system will balance itself by creating the Intra-Unit account. Your total net sales and credits will reflect a higher amount. Do Not Worry the Intra-Unit Cash does not affect your net sales/refunds. • Please keep this journal number for your records with the backup of the sales. Do not store credit card numbers. • After saving the journal please click on “Process” so that the Budget Status and the Journal status change from N N to V V Office of the Controller

  11. Screen Shot of Journal Lines Click Process Journal Number (keep this for your records) Click Save Office of the Controller

  12. Do you have any questions or concerns while creating a journal? Feel free to contact me via email or phone. jcancino@fiu.edu 305.348.2052 Office of the Controller

  13. Questions? Office of the Controller

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