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Accounts Payable (AP) Typical CyclesEnter Accounts Payable Invoices:
	 
		A/P Invoice Entry (AP30) 
			
				Enter AP invoices and adjust certain fields of posted AP invoices.
			 
		A/P Invoice Audit Trail Print (AP31)
			
				Print to show all transactions in AP batch.
				Entering acceptance codes posts to the G/L and clears out the batch.
				The AP Audit Trail must be kept in a safe place for future reference.
			 
Process Computer Checks:
 
	 
		A/P Cash Requirement Print (AP40)
			
				Print to analyze which vendor invoices are due to be paid (according to parameters entered).
			 
		A/P Cash Receipt Edit (AP41)
			
				Adjust/add/delete vendors' invoices from list of items to be paid.
				Must reprint AP40 (format 2) to review changes made in AP41.
			 
		A/P Check Print (AP42)
			
				Print to produce checks for AP invoices designated to be paid in AP40.
			 
		A/P Computer Check Register (AP43)
			
				Print to show all invoices paid by checks run in AP42 batch.
				Entering acceptance codes posts to the G/L and clears out the batch.
				Must be kept in safe place for future reference.
			 
Process Manual Checks and Adjustments:
 
	 
		A/P Manual Check & Adjustment Entry (AP50)
			
				Enter manual payments, wires, transfers and adjustments.
			 
		A/P Manual Check Register (AP51)
			
				Print to show all manual payments and adjustments.
				Entering acceptance codes posts to the G/L and clears out the batch.
				Must be kept in safe place for future reference.
			 
Supporting Inquiries:
 
	 
		A/P Vendor Account Consolidated Query (AP45)
			
				Query vendors, open payables, payables from history.
			 
 
   
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