AP> Invoices
        
            Create an Invoices Batch
         
        Summary
        
         
        The fiscal year the invoices in the batch are expensed and the payment date 
are both defined during the Settings step of the Invoices process (AP> Invoices> 
Settings).
         
        The fiscal year determines:
        
            - which fiscal year the invoices will be expensed
 
            - which purchase orders can be attached to the invoices in the batch
 
        
         
        The payment date can be used to select which invoice to include in a Computer 
Checks batch (AP> Computer Checks> Select Invoices> Date To and Date 
From field).
         
        The fiscal period the invoices are expensed isn't defined until the GL 
Distribution step (AP> Invoices> GL Distribution).
         
        Related Links 
         
        Click here for information on the Select Invoices step of the Computer Checks 
process.
        
        Click here for information on the GL 
Distribution step.
        
         
        Step by Step
        
         
        1     Create an Invoices batch.  
            
                 
                
                    - Select the Invoices palette in AP> Invoices. This will expand the Invoices palette and 
		display the steps of the Invoices process.
 
                    - Select New from the Invoice batch number drop-down menu to create a new batch. This will open the New Batch 
		window.
 
                    
                        - If there are open batches in the Invoices process, you can create a new batch without affecting the open batches.
 
                    
                    - Enter a Batch Month and Batch Year. These fields default to the current calendar 
		period and are used for reference only. The batch month and batch year do not 
		affect the transaction or journal entry date of the transactions in the batch.
 
                    
                        - The payment date of the billing is set up in the Generate step and the fiscal period the transactions are posted 
			to is determined by the Journal Entry Date entered when creating the GL 
			Distribution Report (AP> Invoices> GL Distribution).
 
                    
                    - Click the Generate icon 
 to populate the Batch Number field with the next available batch number. Batch 
		numbers are limited to five digits and must be unique within the batch month of 
		the batch year. 
                    
                        - You can also manually create a new batch by entering a Batch Number and clicking the Save icon 
. 
                    
                    - Highlight the batch in the batch number drop-down menu on the Invoices palette and press DELETE to delete a 
		batch. All uncommitted invoices will be deleted.
 
                
             
         
         
        2     Set the fiscal year and payment date of the invoices that will be 
	processed in the batch.  
            
                 
                
                    - Select Settings from the Invoices palette. This will open the Settings window.
 
                    - The Payment Date field is used to enter the default payment date of the invoices in the batch. 
	When invoices are selected for payment in a Computer Checks batch (AP> 
	Computer Checks> Select Invoices), you can select the invoices that will be 
	paid in the batch by payment date. For example, if you set the payment date 
	of a group of invoices to 11/30/13, you will know these invoices should be 
	paid by 11/30/13. The Payment Date field 
		will default to the current date when the Settings window is opened.
 
                    
                        - When invoices are created in the Invoices batch (AP> Invoices> Invoices), 
			the value entered in this field will default as the payment date on each 
			invoice. You will be able to modify the default payment date when you are 
			creating the invoice if the default value does not apply to a specific 
			invoice.
 
                        - If there is a discount set up on a vendor record (AP> 
			Maintenance> Vendor> General tab> Terms and Discount Percentage field), the discount will be applied 
			if the terms value is less than the payment date minus the invoice 
			date set up on each invoice line item.
 
                    
                    - The Fiscal Year field is used to set the fiscal year of the invoices being generated in the Invoices batch. 
		The selection in this field also determines which purchase orders can be 
		invoiced in the batch. For example, if a purchase order is set up in fiscal 
		year 2012, you can only invoice that purchase order in Invoices batches 
	set to 2012. If 
		you would like to invoice a purchase order set up in 2012 in fiscal year 2013, roll the purchase order into fiscal year 2013 using the Roll Over Purchase 
		Orders process (PO> Roll Over POs).
 
                    
                    - Click the Save icon 
 when complete to save the settings. This is not a process performed on the server, so you will 
		be able to move to the next step as soon as you click the Save icon. 
                
             
         
         
        3     Import invoices. This is an optional step.  
            
                 
                
                    - The Import Invoices feature is used to import invoices into the AP module.
 
                    - Open the Import window (AR> Invoices> Import).
 
                    - Click the Format icon 
 to view the expected file format of the CSV file.- The file layout is determined by the File Type selected in the drop-down menu.
 - Select Springbrook if you would like to import a Springbrook format file. The Springbrook format file contains all of the information associated with an invoice.
 
 
                    - Click the File Location field label to select the path of the file being imported. Click here for general information about the File Layout window.
 
                    - Click the Import icon 
  to import the invoices.- The importing process is performed by your workstation rather than on the application server, so the task cannot be scheduled to be completed on the application server.
 
 
                
             
         
         
        4     View the invoices in the batch.  
            
         
         
        5     Create an invoice and add invoice line items.  
            
         
         
        6     Commit the Invoices batch.  
            
         
         
        
        Springbrook Software
        
        ® All Rights Reserved 2014
        Toll Free Support 866-777-0069