To close or reject bank charges
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Access P-Card Charge Approval (PD20.1). Inquire on the statement you want
to review.
Note: During setup, the administrator needs to use Lawson security to restrict the ability to close or reject charges. P-Card administrators should have this ability, not cardholders. For more information, see your Lawson Security Administrator.
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After the charge was approved, the administrator closes
the charge (or rejects it). Use the following guidelines to enter field values.
- Program
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Select the P-Card program to be approved.
- Card Number
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Type the P-Card number.
- Statement
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Select the imported bank statement name.
- Sort
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Select how you want the charges to be sorted (by date, merchant, or amount).
- Filter
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Select the type of charges you want to view (rejected, approved, released, disputed, closed, or all charges).
- Date Range
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Type the beginning and ending date range of charges to display.
- Position To
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Type the date a charge was created to display that charge.
- Select the Close or Reject line action, based on the action you want to take, and the Change form action.
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Optional. Click the Dtls button to manage bank charge
details. P-Card Charge Detail (PD21.1) displays.
You may attach comments to the charge by clicking the Comments button on the Details form. You cannot change charge details if the charge is in Unreleased or
Closed status.
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Select the Charge tab to add information detail about
the bank charge. Use the following guidelines to enter field values.
- Charge Amount
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The total amount of the charge (including tax) displays.
- Commodity Code
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Select the commodity code to assign to this charge.
- Diversity Code
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Select the diversity code for the Accounts Payable vendor. You set up diversity codes using Diversity Code (AP13.2) and assign them to vendors using Vendor (AP10.1).
- UNSPSC
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Select the following for the UNSPSC code (Universal Standard Products and Services) for the charge.
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Segment
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Family
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Class
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Commodity
You set up UNSPSC codes using UNSPSC Product Codes (IC16.1).
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- Income Code
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Select the income code, representing a type of income withholding. You set up income codes using Income Code (AP05.5). Further, you assign an income code to a merchant using P-Card Merchant (PD04.1).
- Manufacturer Information
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Select the manufacturer code, including the manufacturer division and item number. You set up manufacturer codes using Manufacturer Code (IC14.1).
- Tax Amount
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The amount of tax on the charge displays.
- MCC Code
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Select the merchant category code (MCC) for the charge. You assign an MCC code to a merchant group using P-Card Merchant Group (PD05.1).
- Reason Code
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Select the reason code that provides detail on the charge. During program setup, if you required reason codes for disputed charges, you must include a reason code here for a charge that is disputed.
You set up reason codes using P-Card Reason Code (PD08.1). (Inactive reason codes cannot be assigned to charges.)
- Tax ID
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The Tax ID for the merchant displays.
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Select the Accounts tab to enter account information
for the charge. Use the following guidelines to enter field values.
- Company
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The Accounts Payable company that is responsible for this charge displays.
- Charge Amount
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The total amount of the charge (including tax) displays.
- Account
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Select the general ledger accounting unit, account, and subaccount to assign to the charge. You set these up using Accounting Units - Accounts (GL20.1).
- Distribution Company
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Select the Distribution company.
- Activity
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Select an activity to associate with this charge. You set up activities using Activity (AC10.1).
- Billing Category
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Select the billing category to assign to this charge. You set up billing categories using Billing Category Rates (BR03.1).
- User Analysis
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Type the user analysis values to assign to this charge.
- Tax Amount
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Type the amount of tax on the charge.
- Account Category
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Select the account category to assign to this charge. You set up account categories using Account Categories (AC05.1).
Click the Mult button to enter multiple accounts for this charge. P-Card Charge Accounts (PD22.1) displays. Use the following guidelines to enter field values.
- Dist Code
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Select a distribution code to automatically create expense distributions for invoices, or to split an invoice distribution into multiple distributions. You create distribution codes using Distribution Code (AP05.3).
- Tax Amt
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Type the amount of tax on this charge.
- Type
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Select the type of distribution that this represents (goods or tax).
- Account
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Select a general ledger accounting unit, account, and subaccount for this charge.
- Company
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Select the Distribution company for the charge.
- Amount
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Type the amount of the distribution.
Select the Distribution Detail tab to enter details about the distribution. Use the following guidelines to enter field values.
- Activity
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Select an activity for the distribution.
- Account Category
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Select an account category for the distribution.
- Billing Category
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Select a billing category for the distribution.
- User Analysis
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Type the user analysis values for the distribution.
- Select the Purchase Order tab to display purchase order information (the tab is accessible if the charge has a purchase order number).
- Select the User Fields tab to add user-defined fields.
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Select the Charge tab to add information detail about
the bank charge. Use the following guidelines to enter field values.
- Select the Change form action.