Reconciling Purchase Orders to Invoices
After you enter all your payable invoices, use the A/P Entry window
to reconcile the invoices to purchase orders. Reconciling your invoices
to your purchase orders gives you the opportunity to compare the information,
most specifically the amount payable, between the orders and the invoices,
before approving the invoice for payment. Typically, you use the default
view in this window to reconcile purchase orders.
Note: After
you reconcile a purchase order, you cannot add a freight vendor or bill
of lading.
If the vendor for a purchase order is changed through purchase order
entry while you have the reconciled payable open in A/P Entry, you cannot
save your payable updates.
You cannot reconcile a purchase order for an incomplete shipment.
You can use the A/P Entry window in one of the following modes. To switch
between the modes, select QuickMode from the Options
menu.
Use the Post
A/P Entry Freight To Sales Order G/L Branch control maintenance record to post account
payable freight to a sales order general ledger branch respecting the
current control maintenance records.
If you use Eclipse
Job Management, enter the receiving information for the invoices for
jobs within the Job Management application.
To reconcile a purchase order to an invoice:
-
From the A/P
menu, select A/P Entry to
display the A/P Entry window.
-
At the A/P Entry prompt,
complete
the fields for the payable and click OK:
|
Field
|
Description
|
|
Post Date
|
The system populates this field
with the current date on which to post the payables to
the general ledger. You can change this date by entering
any date within the open payables period.
If you want your aging reports to
show true aging from the vendor's invoice date, enter
that date in this field.
|
|
A/P Branch
|
Enter the branch paying the invoice.
This branch does not have to correspond to the branch
that received the goods.
|
|
Batch ID
|
Enter the batch ID number to which
this payable belongs if your company enters payables in
batches and you want to run reports by batch. The batch
ID is available as a selector on a variety of payables
reports. (Optional)
|
|
Vendor
|
Enter the vendor from whom the
invoice was received. If you do not remember the complete
vendor's name, type one of the following to display a
list you can select from:
-
All
or part of the vendor's name.
-
The
vendor's system-assigned ID number, preceded by a
period.
-
The
vendor's P/O number. If you enter a P/O number and
an internal note is associated with the order, and
the Display P/O Internal
Notes In A/P Entrycontrol maintenance record is set to
Yes, the note
displays when you enter the P/O number.
If you have an order with multiple generations, the
system displays a list of vendors from which you can
select both active and inactive vendors.
Note:
You need to set Display Customers/Vendors
Who Are Inactive At A Branchcontrol maintenance record and several
authorization
keys to have access to inactive vendors.
|
-
At the prompt, select Open Invoices.
-
In the Invoice
Date field, enter the date on the invoice received from the
vendor.
The system reconciles the invoice to the purchase
order only after you enter an invoice date.
In the upper portion of the A/P Entry window, the
system displays all the information related to the invoice that you want
to reconcile. In the lower portion of the window, click
the Purchase Orders tab to display
all the open purchase orders for the vendor that you have selected, with
the
corresponding
information:
|
Column
|
Description
|
|
Br
|
The branch associated with the vendor.
|
|
P/O #
|
The open purchase order number associated
with the vendor. If the purchase order is part of a rebate,
the system displays a dollar sign: 
|
|
Applied
|
If selected, indicates that money
has been applied to an invoice.
|
|
Rec Date
|
The date the purchase order was received.
|
|
Frt
|
Indicates whether or not the vendor
is freight allowed.
|
|
Freight
|
The freight amount on the purchase
order. If this purchase order was shipped by a freight vendor
such as UPS and the freight charges are on the freight vendor's
bill of lading, then *BOL*
displays in this field.
Note:
In A/P Entry, based on the freight setting for a vendor, if
a user enters a freight amount on a purchase order for a vendor
and this field is flagged, the system displays a warning message.
Freight terms for vendors are set up in the Vendor Freight Termscontrol maintenance record. For more information,
see Defining
Vendor Freight Terms.
|
|
P/O Total
|
The total amount due on the purchase
order.
|
-
Select the check box in the
Applied column for purchase
order you want to reconcile.
Note: If
numerous purchase orders exist, you can locate a specific order at any
time by typing all or part of the order number at the current cursor position
in the P/O # field. The system
places the cursor at the order and selects it for reconciliation.
If there is a rebate on the purchase order, the system
displays a dollar sign icon
next to
the P/O number. If the variance for the purchase order is within acceptable
limits, the system displays an asterisk and a message: *Within
Over/Short Variance. To see the window,
click
here.

Note: The over/short variance
may display on any purchase order whether or not it has a rebate.
If you have the Post A/P Entry Freight
To Sales Order G/L Branch control maintenance record set and you
select more than one payable to apply, the system prompts you to select
the G/L account to which to post the amount.
After you reconcile invoices
to purchase orders, you must post the payable for the check to process
for payment. For more information, see Posting
Payables.
See Also:
A/P Entry Overview
Automatically
Approving Invoices with Purchase Order Variances