Navision-Serenic User Guide 20051205
Transcription
Navision-Serenic User Guide 20051205
Missouri Botanical Garden & Affiliated Companies -- Version 1.4.2 -- Serenic Navigator User Guide October 2005 Missouri Botanical Garden & Affiliated Companies Serenic Navigator User Guide October 2005 File: User Guide 20051205 Page 1 of 185 Last printed 2/8/2008 9:14 AM Missouri Botanical Garden & Affiliated Companies -- Version 1.4.2 -- Serenic Navigator User Guide October 2005 Document Distribution Name Organization / Role Version Received Dianne Schmitt MBG – Grant Administrator 1.3.0, 1.4.1, 1.4.2 Chuck Miller MBG – CIO 1.3.0, 1.4.0 Cheryl Mill MBG – Controller’s Office 1.3.0, 1.4.1 Michael Olson MBG – Controller 1.3.0 Scott Brennan Consultant – ICS Advantage 1.3.0 Paul Bruges MBG – Controller’s Office 1.3.0, 1.4.0, 1.4.1, 1.4.2 Bill Dale MBG – IT Department 1.3.0, 1.4.0, 1.4.1 Sharon Harnes MBG – Controller’s Office 1.3.0 Liz Barker MBG – Controller’s Office 1.3.0 Linda Settles MBG – Controller’s Office 1.3.0 Debbie Hayes MBG – IT Department 1.3.0, 1.4.0, 1.4.2 Bob Magill MBG – Research 1.3.0 Paul Brockmann MBG – General Services 1.3.0, 1.4.2 Jan Simons MBG – Retail 1.4.0 Alzana Jakupovic MBG – Retail 1.4.0, 1.4.2 Olga Martha Montiel MBG – Center for Conservation & Sus. Devl. 1.4.0 Peggy Lents MBG – Communications 1.4.0 Maggie Matthews MBG – Communications 1.4.0 Marilyn Muegge MBG – Center for Conservation & Sus. Devl. 1.4.0 Joe Norton MBG – Butterfly House 1.4.1, 1.4.2 Ellen Painter MBG – Butterfly House 1.4.1 Peggy Drackert MBG – Butterfly House 1.4.1 Shannon Smith MBG – Horticulture 1.4.1 Jim Cocos MBG – Horticulture 1.4.1, 1.4.2 Jo Byrne MBG – Horticulture 1.4.1, 1.4.2 Lisa Francis MBG – Horticulture 1.4.1, 1.4.2 Luther Williams MBG – Education 1.4.1 Diane Bauer MBG – Education 1.4.1 Rose Lauman MBG – HRM 1.4.1 Deb Frank MBG – EarthWays Center 1.4.1 Suzanne Gregory MBG – EarthWays Center 1.4.1, 1.4.2 John Behrer MBG – Shaw Nature Reserve 1.4.1 Helen McCallie MBG – Shaw Nature Reserve 1.4.1 Patty Arnold MBG – Membership & Development 1.4.1 Sharon Mertzluff MBG – Membership & Development 1.4.1 Jessica Smith MBG – Membership & Development 1.4.1 Pete Lowry MBG – Research 1.4.1 Denise Hufford MBG – Communications 1.4.2 Nancy Lissant MBG – Controller’s Office 1.4.2 Emma Williams MBG – Controller’s Office 1.4.2 Jackie Maciekowicz MBG – General Services 1.4.2 Susan Ciluffo MBG – General Services 1.4.2 File: User Guide 20051205 Page 2 of 185 Last printed 2/8/2008 9:14 AM Missouri Botanical Garden & Affiliated Companies -- Version 1.4.2 -- Serenic Navigator User Guide October 2005 Name Organization / Role Version Received Kevin Mattingly MBG – General Services 1.4.2 Ramon Cusi MBG – General Services 1.4.2 Pat Scott MBG – General Services 1.4.2 Doug Hill MBG – General Services 1.4.2 Lucy Hubert MBG – Center for Conservation & Sus. Devl. 1.4.2 Victoria Hollowell MBG – MBG Press 1.4.2 Kathy Basso MBG – Director’s Office 1.4.2 Barb Addelson MBG – Education 1.4.2 Carol Baumann MBG – Education 1.4.2 Adele Niblack MBG – MBG Press 1.4.2 Jim Solomon MBG – Research 1.4.2 Gary Mackey MBG – Education 1.4.2 Kathryn Kennedy CPC 1.4.2 Lydia Toth MBG – Education 1.4.2 Sandy Lopez MBG – Research 1.4.2 Doug Holland MBG – Research 1.4.2 Mary Stiffler MBG – Research 1.4.2 Monica Anderson MBG – MBG Press 1.4.2 Chris Parmeter MBG – HRM 1.4.2 Lynn Kerkemeyer MBG – Communications 1.4.2 Phillip Egart MBG – Horticulture 1.4.2 Joyce Gorrell MBG – EarthWays 1.4.2 Barbara Widmer MBG – Center for Conservation & Sus. Devl. 1.4.2 Viktoria Krahling MBG – Controller’s Office 1.4.2 Kathy Corey MBG – HRM 1.4.2 Maria Bradford CPC 1.4.2 Tracy Breckenridge MBG – HRM 1.4.2 Chris Freeland MBG – IT Department 1.4.2 Jim Kalkbrenner MBG – Communications 1.4.2 Document Change Record Date Author Version Reason for Change 9/10/04 Bill Dale 1.0 Draft for Project Reporting 10/20/04 Bill Dale 1.1 Updated draft for Project Reporting & Security 12/29/04 Bill Dale 1.2 Inclusion of Purchase – to – Pay functionality 02/04/05 Bill Dale 1.3.0 Updated Security section 02/28/05 Bill Dale 1.3.1 Added Running of 1099 documents text & ZUP file delete 05/03/05 Bill Dale 1.4.0 Added GL Reporting, User Setup examples, PTP changes 06/08/05 Bill Dale 1.4.1 Minor edits and additions (including Encumbrance graphic) 10/07/05 Bill Dale 1.4.2 Additional Appendix material and login material File: User Guide 20051205 Page 3 of 185 Last printed 2/8/2008 9:14 AM Missouri Botanical Garden & Affiliated Companies -- Version 1.4.2 -- Serenic Navigator User Guide October 2005 Table of Contents Background ................................................................................................................... 7 Encumbrance Accounting............................................................................................ 8 1. System............................................................................................................... 10 1.1. Overview ......................................................................................................................... 10 1.2. Overview – System Diagram........................................................................................... 11 1.3. Security ........................................................................................................................... 12 1.3.1. Security – Administration..................................................................................... 12 1.3.2. Security & Controls – Operational Controls......................................................... 21 1.3.3. Security – Users .................................................................................................. 21 1.3.4. Security – Data Access ....................................................................................... 34 1.4. Miscellaneous System / Setup “How To …”.................................................................... 42 1.4.1. Assign a default printer to a report ...................................................................... 42 1.4.2. Add a newly developed report to a Menu ............................................................ 43 2. General Ledger ................................................................................................. 44 2.1. Setup............................................................................................................................... 44 2.2. Chart of Accounts............................................................................................................ 44 2.3. Bank Accounts ................................................................................................................ 44 2.4. Funds .............................................................................................................................. 44 2.5. Budget Planning.............................................................................................................. 44 2.6. Account Schedules ......................................................................................................... 44 2.7. General Journals............................................................................................................. 44 2.8. Monthly Closing Process................................................................................................. 44 2.9. General Ledger Reports.................................................................................................. 44 2.9.1. Custom Trial Balance w/ Budget report............................................................... 45 2.9.2. Custom Trial Balance Detail and Summary reports ............................................ 48 File: User Guide 20051205 Page 4 of 185 Last printed 2/8/2008 9:14 AM Missouri Botanical Garden & Affiliated Companies -- Version 1.4.2 -- Serenic Navigator User Guide October 2005 2.9.3. Custom Trial Balance Detail with Payroll report .................................................. 52 2.10. Miscellaneous GL “How To …” ....................................................................................... 52 2.10.1. Change the work date ......................................................................................... 52 3. Projects ............................................................................................................. 54 3.1. Project Setup................................................................................................................... 54 3.1.1. Project Card ........................................................................................................ 54 3.1.2. Project Validation Business Rule Entry ............................................................... 54 3.1.3. Project Budget Business Rule Entry.................................................................... 54 3.1.4. Project Report Distribution .................................................................................. 54 3.2. Project Reports ............................................................................................................... 55 3.2.1. Overview ............................................................................................................. 55 3.2.2. Generating Reports – Client/Server Application.................................................. 56 3.2.3. Generating Reports – Web-based....................................................................... 64 3.2.4. Reading / Using Project Reports ......................................................................... 65 4. Purchases & Payables ..................................................................................... 92 4.1. Setup............................................................................................................................... 93 4.1.1. User Setup .......................................................................................................... 93 4.1.2. Vendor View Setup.............................................................................................. 96 4.1.3. User Group Code Business Rule Setup ............................................................ 103 4.1.4. Workflow Setup ................................................................................................. 103 4.1.5. Approval Business Rule Setup .......................................................................... 106 4.1.6. Budget Validation Business Rule Setup ............................................................ 109 4.2. Vendor Management..................................................................................................... 113 4.2.1. Vendor Setup .................................................................................................... 113 4.2.2. Vendor View Management ................................................................................ 113 4.2.3. Vendor Invoice Status Lookup .......................................................................... 114 4.2.4. Setting up and Printing 1099 Documents .......................................................... 119 4.3. Item Management ......................................................................................................... 124 4.4. Requisitioning Process.................................................................................................. 124 File: User Guide 20051205 Page 5 of 185 Last printed 2/8/2008 9:14 AM Missouri Botanical Garden & Affiliated Companies -- Version 1.4.2 -- Serenic Navigator User Guide October 2005 4.5. Purchasing Process ...................................................................................................... 124 4.5.1. Creating a Purchase Order – “The Basics” ....................................................... 126 4.5.2. Creating a Purchase Order – “In Detail” ............................................................ 128 4.5.3. Approval Processing – “The Basics” ................................................................. 132 4.5.4. Approval Processing – “In Detail” ...................................................................... 137 4.6. Receiving Process ........................................................................................................ 138 4.6.1. Item Receiving – “The Basics” .......................................................................... 138 4.6.2. Item Receiving – “The Details” .......................................................................... 143 4.6.3. Invoice Receiving .............................................................................................. 143 4.7. Accounts Payable Process ........................................................................................... 152 4.7.1. Creating an Invoice Batch ................................................................................. 152 4.7.2. Entering an Invoice into a batch – with no prior Serenic data ........................... 152 4.7.3. Entering an Invoice into a batch – with prior Serenic data ................................ 152 4.8. Payment Process .......................................................................................................... 157 4.9. Aging Status.................................................................................................................. 157 4.9.1. Aging Status – “The Basics”.............................................................................. 157 4.9.2. Aging Status – “The Details” ............................................................................. 160 4.10. Miscellaneous Purchases & Payables “How To …” .......................................... 162 4.10.1. Add a “Buy-From” address to a Vendor............................................................. 162 5. Sales & Receivables....................................................................................... 166 6. Fixed Assets ................................................................................................... 167 7. Appendix ......................................................................................................... 168 File: User Guide 20051205 Page 6 of 185 Last printed 2/8/2008 9:14 AM Missouri Botanical Garden & Affiliated Companies -- Version 1.4.2 -- Serenic Navigator User Guide October 2005 Background In August 2004, the Missouri Botanical Garden replaced their accounting software with the Serenic Navigator software. The legacy accounting application was Microsoft Great Plains for the general ledger and Wennsoft for the project accounting requirements. Serenic Navigator, the new software, is an application developed by Serenic Software based on Microsoft’s Navision accounting software. Serenic Software created custom features for the Navision accounting software so that it can better serve the notfor-profit industry. In addition to the custom features developed by Serenic Software, the Missouri Botanical Garden and affiliated companies have further customized the software to align with the specific needs of the organizations. As a result, the standard training manuals or documentation available from Microsoft and Serenic fall short of providing detailed user documentation for those functions which Missouri Botanical Garden custom developed. This user guide will document user functions across a variety of features. The documentation has evolved over the course of the implementation, in order to address the specific needs of the user community. In its final state, the documentation will be a compilation of user guide information developed specifically for the Garden as well as reference material from the software vendors: Microsoft’s Navision, Serenic’s Serenic Navigator and the reporting tool, Jet Reports. The User Guide documentation will be used to support the expanding rollout of functionality across the Garden’s organization. As new features, such as report access and Purchasing are rolled out across the organization, new non-accounting users will be accessing the software. In some cases, their access will not be as frequent as what routinely occurs within the Controller’s Office. As a result, the new users will need supporting documentation to serve as a guide in how to complete infrequently attempted procedures. This User Guide documentation will continue to evolve as new features require and as time permits. File: User Guide 20051205 Page 7 of 185 Last printed 2/8/2008 9:14 AM Missouri Botanical Garden & Affiliated Companies -- Version 1.4.2 -- Serenic Navigator User Guide October 2005 Encumbrance Accounting The new accounting software enables encumbrance accounting for the organization. Traditionally, the Missouri Botanical Garden has not had the capability to perform encumbrance accounting. As a result, the benefits of encumbrance accounting may not be universally familiar to the user community. All accounting systems record expenses to the general ledger. When entries are made to the general ledger to recognize the receipt of an item and the obligation to pay for that item, an expense entry is made. If expense entries are the only type of entry made to an accounting system, then the users of the accounting data and reports only have data visibility to amounts that have already been “spent”. The timeliness of the expense data in the accounting system is dependent on the amount of “transportation lag” inherent in the user’s business processes. For example, if goods and an invoice are received by an organization, but it takes the organization 10 days to create an accounting entry about those goods and invoice, then the organization has the potential risk of carrying 10-days of expenses, payable to vendors, without having visibility to the data. The use of encumbrance accounting and a purchasing system intends to reduce or eliminate the organization’s exposure to the expense dollars incurred, but “unseen” due to the transportation lag of their business processes. An encumbrance is created in one of two ways: 1. Serenic Navigator whenever a new Purchase Order is created and approved, o 2. In the case of an Invoice without an associated Serenic PO, when that invoice is approved (successfully completes the “Submit for Review” process). For situation #1, above, the encumbrance amount is equal to the total amount shown on the PO For situation #2, above, the encumbrance amount is equal to the total amount shown on the invoice as received by the operating departments With encumbrances posted at the time a buyer makes a commitment to a vendor, rather than after the vendor invoices for the goods/services, the users of the accounting system have a more timely and complete view of their budgets. This is illustrated in the graphic below: File: User Guide 20051205 Page 8 of 185 Last printed 2/8/2008 9:14 AM Missouri Botanical Garden & Affiliated Companies -- Version 1.4.2 -- Serenic Navigator User Guide October 2005 The Purchasing Process and Encumbrance Accounting Improves the TIMELINESS of data visibility Previous software and practices Typical Buying Process With Serenic + Report Access With Serenic + Invoice Receiving With Serenic + Purchasing A Request is made for "goods" Day 0 Verbal, email, note Verbal, email, note Verbal, email, note Verbal, email, note A Purchase Order is created Day 1 Paper, 3-part form Paper, 3-part form Paper, 3-part form Use of Serenic PO The Purchase Order is approved Day 2 Paperbased or verbal Paperbased or verbal Paperbased or verbal The Purchase Order is place with the Vendor Day 2 Paperbased or verbal Paperbased or verbal Paperbased or verbal Goods are Received Day 9 Paperbased Paperbased Paperbased Receipts performed in Serenic The Vendor Invoice is Received Day 10 Paperbased Paperbased Paperbased Paper-based The Department Processes the Invoice Day 12 Stamp, code, sign, copy, file Stamp, code, sign, copy, file Send Invoice to Controller's Office Day 13 via Garden mail via Garden mail Day 20 100% keyed entry Controller's Office Processes the Invoice Expense is posted to the GL Paper Reports are available ~4-6 weeks after end of month File: User Guide 20051205 Day 55 Paper-based, email or verbal Data entry & submit First "VISIBILITY" to the data Data entry & submit via Garden mail & via software via Garden mail & via software Review / Correct. Encumbrance relieved, Expense posted. Review / Correct. Encumbrance relieved, Expense posted. Paper check 100% audited Paper check 100% audited Paper check 100% audited ~35 days sooner ! ~43 days sooner ! ~53 days sooner ! 100% keyed entry First "VISIBILITY" to the data Paper check 100% signed Payment is made to the Vendor In Serenic First "VISIBILITY" to the data Receive printed reports First "VISIBILITY" to the data Page 9 of 185 Last printed 2/8/2008 9:14 AM Missouri Botanical Garden & Affiliated Companies -- Version 1.4.2 -- Serenic Navigator User Guide October 2005 1. System 1.1. Overview The Serenic Navigator accounting software is one of the Microsoft Business Solutions for the not for profit industry. Serenic Navigator strongly supports the need for fund accounting and offers flexibility to customize the user interface and business processes to meet the requirements of the company. The Serenic Navigator solution is based on Microsoft’s Navision accounting software. Serenic Software, Inc., a partner company to Microsoft, has modified the standard Navision accounting software to better support the needs of the not for profit industry. Computer Applications Solutions, Inc. (CASI) is the consulting / implementation company for the installation at Missouri Botanical Garden. CASI has added multiple customizations to the software at the request of MBG, in order to better support the business requirements. The details of the general ledger structure and other functional aspects of the software are contained later in this document. In order to support the needs of Missouri Botanical Garden and affiliated companies, the software has been setup to account for five (5) separate companies: • Missouri Botanical Garden • MBG Properties • Center for Plant Conservation, Inc. • Gateway Greening, Inc. • Garden District Commission Additionally, there have been, and will be, multiple “environments” or databases used for the software. The “Production” environment is the one in which all live data is to be entered and all reporting is to be generated. The “Sandbox” environment is the one used for testing data entry techniques, new processes and reports. The “Sandbox” environment gets refreshed regularly, but is not to be used for “real” production entry, nor should it be considered as a backup of the “Production” environment. Some users will have access to multiple companies, as well as both the “Production” and “Sandbox” environments. Security setups will restrict which users will have access to which companies and which environments. WARNING: File: User Guide 20051205 Users with access permissions to multiple companies and / or environments need to insure that they have logged into the company / environment of their choice, prior to generating reports of doing data entry. Page 10 of 185 Last printed 2/8/2008 9:14 AM Missouri Botanical Garden & Affiliated Companies -- Version 1.4.2 -- Serenic Navigator User Guide October 2005 1.2. Overview – System Diagram Technology Administrators: MBG IT - Cassandra Consulting - ICS Advantage Super Users: MBG CO - Cheryl Mill MBG CO - Linda Settles MBG CO - Paul Bruges Consulting - Bill Dale Serenic Server Contains 5 Companies: MBG MBG Properties GGI CPCI GDC Serenic Production Contains 5 Companies Contains 5 Companies Serenic Sandbox Serenic Development Client PC Setup: Serenic Navigator Accounting Software Internet Pending Technical Developments Excel with Jet Reports ExpandIT Utilities Network Connected Departmental Users File: User Guide 20051205 Remote Users Page 11 of 185 Last printed 2/8/2008 9:14 AM Missouri Botanical Garden & Affiliated Companies -- Version 1.4.2 -- Serenic Navigator User Guide October 2005 1.3. Security Establishing proper application and data security for the Serenic Navigator Accounting Software is a key factor in providing an accurate and highly functional software solution for the needs of MBG and affiliated companies. The security setups provide both the limitations to data access, prudent for any accounting application, and the controlled access to functionality to better support ongoing user operation. By controlling individual user’s access to only those portions of the application required to support their role within the business, a level of operational efficiency is provided. The security and controls framework used for the Serenic Navigator Accounting Software have been developed in anticipation of a broad base of users having some level of access to accounting functionality and data. Historically, only members of the Controller’s Office have interacted directly with the accounting software. The implementation of Serenic Navigator was based on the need to have MBG employees outside of the Controller’s Office interacting with the software for the purposes of retrieving reports and ad hoc data, as well as fulfilling a role in the Purchasing business process. The application security and controls are managed on an Administrative level, an Operational Controls level and on a User level. The Administrative level is responsible to define and grant access, roles and permissions to the users. The Operational Controls grant access to reports and usage of accounts. The User level security responsibilities include insuring proper logins to the correct environment (database) and company, as well as setting and maintaining secure password access. Additionally, users must practice prescribed good security practices (such as not sharing Userid and Password information) to support application and data security 1.3.1. Security – Administration The security administration involves four key facets or steps to create and maintain secure data and application operation. 1st – User Database Login (access to SQL Server and database logins via Serenic) 2nd – Assignment of User Roles and Permissions within the application 3rd – Maintenance of User Information for application operations 4th – Data access controls 1.3.1.1. Adding a Database Login Creating a database login involves a two step process. The first step is to grant the user access to the SQL Server used for the application. This is managed exclusively by the IT department at MBG. The second step is to create a database login within the Serenic Navigator application. This can be done by anyone with Super user permissions, but will primarily be done by Cheryl Mill at MBG). To create a database login, follow this procedure: 1. If a non-IT person is initiating the need to add a user to the Serenic Navigator Accounting System, that person should contact the IT Department and request that they need a new User be added to the SQL Server used for the Serenic Navigator Accounting System. a) The actual request to IT Department personnel should be: “I need a new user added to the SQL Server used for the Serenic Navigator Accounting System.” File: User Guide 20051205 Page 12 of 185 Last printed 2/8/2008 9:14 AM Missouri Botanical Garden & Affiliated Companies -- Version 1.4.2 -- Serenic Navigator User Guide October 2005 b) The IT Department personnel will need to know what the new user ID should be. The MBG convention is to use the first initial of the user’s first name and their last name as the user ID (e.g. Joe Smith’s User ID would be JSMITH). The person requesting the user setup should tell the IT Department personnel, “The new User ID is for < fill in First Name > < fill in Last Name > and the User ID will be < fill in User ID >” c) When the IT Department personnel set up the access to the SQL Server, they will need to assign a password to the User ID. The initial password for a user will be set by IT following the convention they employ. The person requesting the user setup should ask IT for the initial password, so that the user access and permissions can be tested prior to having the user login for the first time. NOTE: It is important for all users to create their own unique password to the accounting application after they have signed on for the first time. The initial password convention will become well known in the user community and, as a result, offers a security weakness that will require ongoing management. IT encourages accounting application users to create a password for the accounting application that is different from their other passwords. d) Finally, you will need to instruct the IT Department personnel as to which environment (database) the new user should have access. Recall, that the environments (databases) commonly used by MBG include “Production”, for live accounting data, and “Sandbox”, for test & try-out purposes. Many users will only need access to the Production environment. Instruct the IT Personnel as to grant access to the appropriate environment(s) by saying, “User ID < fill in User ID > needs access to the < fill in correct environment(s) > environment(s).” e) After getting confirmation by the IT Department personnel that the SQL Server User ID and Password have been established, proceed to step 2. NOTE: If the only reason for creating the Userid is to enable the user to be assigned as a recipient of Project reports, then the user setup process can be considered complete at this point. If the user will ever need to login to the application, then the remainder of the user setup process must be completed. 2. The application system administrator, with a Super User Role, should navigate to the Database Login function of Serenic Navigator by following the upper toolbar menu path of Tools – Security – Database Logins. File: User Guide 20051205 Page 13 of 185 Last printed 2/8/2008 9:14 AM Missouri Botanical Garden & Affiliated Companies -- Version 1.4.2 -- Serenic Navigator User Guide October 2005 3. The Database Logins window appears: 4. In the User ID field, enter the user ID of the new person. Be sure to have the User ID typed in Serenic match the User ID set-up by the IT personnel for the SQL Server. The program converts all letters you type into uppercase. You can change the user ID in this field at a later time. 5. In the Name field, enter the name of the user of the ID. 6. MBG and affiliated companies will use database server authentication, as an alternative to Windows authentication. With the database server authentication, the user will be required to use a password to access the Serenic Navigator Accounting system, even if they are already logged on to Windows. The initial SQL server setup (done by IT personnel – step 1) for the User ID and the password assignment, establishes the initial password to be used within Serenic Navigator. Any changes to the password initiated by a user, after the initial setup will keep the Serenic Navigator password and the SQL Server passwords in sync. As an alternative (not recommended), the User ID’s password can also be entered in the Serenic Navigator Database Login “Password” field. This password must match the password used in the SQL Server access setup for the User ID. You will notice that the password is encrypted as you type, so neither you nor anyone else can see it. A password can contain a maximum of 10 characters. It is important to remember where you have used uppercase and lowercase letters because passwords are casesensitive. The password can be used for as long as you want. In a multi-user installation (such as MBG’s) where a system manager has set up all the user IDs, each user should change their own password immediately after logging on for the first time, so that no one else knows their password. It cannot be seen anywhere in the system. 7. In the Expiration Date field, you can enter a final date on which a user will be able to log on to the program. As a security precaution, super users should NOT be given a date limitation. It will be MBG’s practice and convention to not use the Expiration Date field, unless a user needs to have all permissions revoked immediately. In that File: User Guide 20051205 Page 14 of 185 Last printed 2/8/2008 9:14 AM Missouri Botanical Garden & Affiliated Companies -- Version 1.4.2 -- Serenic Navigator User Guide October 2005 case, the user login privileges can be revoked as of the day required, by entering that date in the Expiration Date field. 8. As with other forms & fields in Serenic Navigator, the record is created by leaving the field. So, in order to finalize the creation of the database login, the user should press ENTER and move the cursor to a new line. NOTE: At this point in the new user setup process the new user has a SQL Server login and a login to the Serenic Navigator application. However, because no Roles and Permissions have been assigned within Serenic Navigator, the new user can’t even open up the application to the first menu. The next steps must be completed in order to allow the user access to the client server version of the application forms & menus. 1.3.1.2. Assigning Roles and Permissions To assign Roles and Permissions, the system administrator / super user should follow this procedure: 1. From the Main Menu, click through the following menu path: General Ledger – Setup – Users – User Rights Setup. The User Rights Setup window appears: The User Rights Setup form displayed above reflects the setup work already completed for a user (in the example “DMILLER”). The content of the form you see after navigating to the User Rights Setup screen is dependent on the values displayed in the header fields. 2. By selecting a User ID in the top left corner of the form, the Roles currently assigned to that user will appear down the left side of the form. As a default, permissions apply to all the companies in the database, but they can be restricted to a particular company. To do this, you should enter the name of the company in the Company field. To have File: User Guide 20051205 Page 15 of 185 Last printed 2/8/2008 9:14 AM Missouri Botanical Garden & Affiliated Companies -- Version 1.4.2 -- Serenic Navigator User Guide October 2005 permissions apply to several (but not all) companies, you must set up one line per company (each line starting with the same role ID). In the example above, all of the roles assigned to the userid, DMILLER, are specific to the Sandbox - MBG Company except for the role called “ALL”. This role applies to all companies. Adding a role is as simple as proceeding to the next blank line and inserting a new role. NOTE: The “ALL” Role The role called “ALL” is required for anyone who needs to gain access to the Main Menu. The role “ALL” is given to ALL USERS. It does not give access to everything in the application, as the role name may imply. Every user is required to have the ALL Role. However, the only thing that a user could do if they only had the ALL Role, is to login, access the Main Menu, and move around in the program. The ALL Role does not allow access to any tables, table data or forms. So, simply granting the ALL Role to someone is not sufficient to have them functional with the application. At least one other role must be assigned if the user is actually intended to do anything with the application. NOTE: Super User Roles – IMPORTANT !!! At least one user must have the SUPER role for all companies. The super user only needs to be assigned a single role, because the SUPERUSER role has permissions to everything in the system. All other users, however, will need to be assigned at least two or more roles. Any user who is not a super user must be assigned the ALL role as well as roles/permissions that give access to the specific areas of the program that they will need to use. 3. By specifying the Company Filter, you may filter out the roles for the specified Userid for a specific company. 4. As shown in the previous screenshot, by highlighting one of the roles, the permissions associated with that role will be displayed in the adjacent window. The screenshot depicts the specific permissions (right side of form) associated with the “Read G/L accounts and entries” highlighted on the left side of the form. Each role describes a set of access permissions to tables, reports, functions and so on. Various permission types allow the user to: • Read (information in a table, for example) • Insert (information in a table, for example) • Modify (information in a table, for example) • Delete (information in a table, for example) • Execute (information in a table, for example) NOTE: Changing the permissions for a role (Read, Insert, Modify, Delete, Execute) while on a specific individual’s User Rights Setup card will modify the role for anyone who has been assigned the role. Remember that: • Each Role has a set of defined permissions • Each User will probably have multiple Roles • Since many Users could have the same Roles, they will have the same permissions within the shared role File: User Guide 20051205 Page 16 of 185 Last printed 2/8/2008 9:14 AM Missouri Botanical Garden & Affiliated Companies -- Version 1.4.2 -- Serenic Navigator User Guide October 2005 5. To assign a new user roles and permissions, the new User ID should be selected in the header field, along with the appropriate User Main Menu form. For a non-Super User (the vast majority of all users), the Role ID “ALL” should be selected. At least one other role should be selected for the user to provide them with a level of functional capability within the application. 6. The User Rights Setup form can be displayed in two formats determined by the Show field in the Header of the form. You’ve seen the “Permissions for Selected Role” format above. The other format is called “Users with Selected Role” and is displayed in the screenshot below: As shown above, by highlighting one of the roles (left side of form), the users assigned that role will be displayed in the adjacent window (right side of form). NOTE: Samples of User Permission Setups are included in Appendix __ as a guide for other future permission setups File: User Guide 20051205 Page 17 of 185 Last printed 2/8/2008 9:14 AM Missouri Botanical Garden & Affiliated Companies -- Version 1.4.2 -- Serenic Navigator User Guide October 2005 1.3.1.3. Completing User Setup Card To complete the User Setup process, a set of “base facts” about the user should be defined within the Serenic Navigator Accounting software. These facts are required to support the function and operation of the software. In order to complete this last step of the User Setup process, follow the following procedure: 1. From the General Ledger menu click through the following navigation path: Setup – Users – User Setup. The User Rights Card window appears: 2. In order to complete the User Setup process, complete the remaining fields as follows: TAB FIELD NOTES General Title The user’s job title General User Group Code * The User Group Code is used in conjunction with Business Rules for data access to provide a level of data security. A user with a User Group Code of DIV-839, will only be able to access GL data for Division 839, based on restrictions imposed via an access Business Rule (see section 1.2.4) General User Level Code * The level within the organization. Level codes are established during setup. User Level Codes are used in conjunction with Purchasing capability & control the extent of the Purchasing data available to the user. File: User Guide 20051205 Page 18 of 185 Last printed 2/8/2008 9:14 AM Missouri Botanical Garden & Affiliated Companies -- Version 1.4.2 -- Serenic Navigator User Guide October 2005 TAB FIELD NOTES General Reports To * The User ID for this user’s direct report. Only users with Manager checked are displayed in the lookup. This reporting hierarchy is used by the approval system to evaluate the organization structure to determine the user’s supervisors at each level of the organization General Deliver-to Address Code The code identifying the address information for delivery of requisitioned items General Invoice-to Address The Serenic Purchasing functionality is being used in a variety of locations (such as the main Garden grounds, Shaw Nature Reserve and the Butterfly House). Each of these locations can receive invoices from vendors for purchases. This field associates an invoice-to address with the user & will cause the chosen address to default on purchasing documentation created by the user. General Manager Check if this user is allowed to have subordinates Communication Primary email address MBG encourages the addition of the email address to the user card. Typically email addresses are relatively static for a user, once they are a member of an organization. Communication Phone No. Phone number information is optional Communication Extension Phone number information is optional Security Main Menu ID * If you want the user to see a particular main menu when they start the program, you must specify it here. If you cannot remember whether any special menus have been created, click the Assist Button to the right of the field. A list appears. If you do not select any special main menu, the user will see the standard main menu. Security Allow Posting From / To These two fields allow a Superuser to establish the valid date range within which the user being setup can post GL entries. If the fields are left blank, as they should be in the majority of cases, then the global posting date range, setup within the GL will control the allowed posting dates for the user. As an example, some users may need to post budgetary information into a future year or month. The global settings would disallow this future dated postings, so a user specific date range would need to be established. Security Allow FA Posting From / To These date fields allow a Superuser to establish a valid date range for Fixed Assets posting which is different than the global date range established in the GL setup. Security Register Time If checked, then the users elapsed time on the system will be logged in hours/minutes. This does File: User Guide 20051205 Page 19 of 185 Last printed 2/8/2008 9:14 AM Missouri Botanical Garden & Affiliated Companies -- Version 1.4.2 -- Serenic Navigator User Guide October 2005 TAB FIELD NOTES not enable specific user time tracking, but rather only accumulates the hours a user is on the system. This feature is intended for operations which need to record and bill time for accounting activities specific to a company (e.g. contract bookkeepers). It has little/no practical purpose for Missouri Botanical Garden Security Global Inbox If checked, then the user will have an oversight view of all activity through the approval processes inboxes. It is recommended that at least one Superuser in an organization have this authority for troubleshooting purposes. Security Project Admin Report Access Project Administrators have authority to view & print all project reports. Other users, assisting the Project Administrators may also require this access authority. It can be granted by checking this box. Otherwise access to project reports by non-Superusers is controlled by assignment at the report level. Security Access to All Reports By selecting this box, the user will have access to all reports and the User Report List will be irrelevant. Security Access to All Vendors By selecting this box, the user will have access to all vendors and the Vendor Views by Division will be irrelevant. Security Purch. Doc. Filter Level* The user has the following choices; Buyer – Upon entering the forms to enter or view a purchase order or invoice, the user will only be shown the purchase orders or invoices that they have created or have the Request For field in the document header populated with their USERID. Manager - Upon entering the forms to enter or view a purchase order or invoice, the user will only be shown the purchase orders or invoices that they have created, that anyone assigned to their division or have the Request For field in the document header populated with their USERID. Accounting – Upon entering the forms to enter or view a purchase order or invoice, the user will see all documents. Security Authorized to include / exclude closing entries from reports A limited number of users will need to produce Project reports in both a way which includes the closing entries (enabling FYTD reporting) or excludes the closing entries (enabling Project TD reporting). Security Exclude from Project Report Distributor ** The Project Report Distributor functionality produces Project reports “en masse”. All report recipients are printed a copy of their reports via File: User Guide 20051205 Page 20 of 185 Last printed 2/8/2008 9:14 AM Missouri Botanical Garden & Affiliated Companies -- Version 1.4.2 -- Serenic Navigator User Guide October 2005 TAB FIELD NOTES the Report Distributor functionality. As more users gain self-service access to reports, they many not need to be included in the en masse production of reports. Checking this box will exclude their userid from the Report Distributor functionality Defaults Division Code* This is the only default segment that is mandatory. * Mandatory Field ** Pending development 1.3.2. Security & Controls – Operational Controls The application provides a layer of data access security through the administration and use of operation controls such as granted access to project reports and the establishment of valid accounts and defaults. The Operational Controls are managed through the Controller’s Office personnel. These topics are explored in greater detail in other sections of the User Guide. 1.3.3. Security – Users 1.3.3.1. Security – ZUP Files ZUP files retain the individual user preferences or form modifications. ZUP files do not provide security to the application, but they do support the user accessing the application in ways in which they are familiar. For instance, when a user moves some columns on a form for ease of data review and entry, the application will store the users preferred way to view the form in the ZUP file on the users PC. If there are values to be retained on a form, for future use, those values will be stored on the form in the ZUP file. Normally, in the course of operation, if the user is presented with a message of “Do you wish to save the ZUP file, the typical answer is “YES”. The application will recognize any changes that have been made to the way in which a user views forms during the operation of the application. When the application is closed, the user will be presented with a message that allows them to save those changes to the ZUP file. There is one ZUP file stored for every icon on the users desktop. If the user has multiple icons of Serenic Navigator on their PC desktop, then they will have multiple ZUP files stored on their PC. ZUP files are stored as hidden files on the users PC. 1.3.3.2. Deleting a ZUP file Normally, there is no need to delete a ZUP file. If stored values on a form are preventing the form from being accessed, then the solution to this issue may be to delete the ZUP file. MBG experienced this in early March ’05 when a budget filter parameter for a project included a trailing pipe ( “|” ) and no value. When this occurred, the system recognized the error in the logical operation, but would not allow the user access to the form to correct the File: User Guide 20051205 Page 21 of 185 Last printed 2/8/2008 9:14 AM Missouri Botanical Garden & Affiliated Companies -- Version 1.4.2 -- Serenic Navigator User Guide October 2005 error while on their PC. The logical error was corrected on another user’s PC and the ZUP file on the original user’s PC was deleted to re-enable their access to the form. If there is ever a need to delete a ZUP file from a users PC, it can be done by, first, finding the file & then deleting it as you would with any file. Since ZUP files are stored as “hidden” files on the user’s PC, in order to locate the file, the user should first insure that they can view hidden files. This is done by navigating to the choice via Control Panel Æ Folder Options Æ View Æ Select radio button to “Show hidden files and folders”. This radio button is not normally selected, as a typical user would not need to view the hidden files, nor folders. After insuring that hidden files and folders can be viewed, the user can search for a file using “ *zup* “ as the search parameters. Alternatively, the user can follow this navigation path to locate the ZUP file: My Computer Æ Search the local drive (typically “C:”) Æ Documents and Settings Æ Select the correct user name Æ Application Data. Normally the ZUP (fin.zup) file will be stored in the Application Data folder for the user. After locating the ZUP file, through either navigational approach, simply delete it. After deleting the ZUP file, when the user performs their next Serenic Navigator login, they will need to complete the “long version” of the login, which includes selecting the proper server (MBGSERV07), etc. Once logged in, the user will notice that their preferences for form layout and/or any values defaulted onto forms will be gone. Over time, the user will re-establishes how they use the application by saving their settings into the ZUP file. 1.3.3.3. User Login Procedure After a user has been granted access to the database, and has been setup in the accounting software with roles and permissions, they may access the software. The initial rollout of access to the software will be with the client / server version of the software. So, in addition to the user setup requirements, the user must have the software installed on the PC from which they are choosing to work. As part of the installation routine, a desktop icon will be created to ease the user’s navigation to the software. The desktop icon will look something like the one displayed below: The appearance of the icon could differ in the descriptive wording, depending on how the icon is created on the user’s desktop. Typical Login Procedure: 1. Double click on the desktop icon 2. The screen below is presented: File: User Guide 20051205 Page 22 of 185 Last printed 2/8/2008 9:14 AM Missouri Botanical Garden & Affiliated Companies -- Version 1.4.2 -- Serenic Navigator User Guide October 2005 3. Enter User ID (or confirm that the one defaulted is correct). Enter Password. Click “Okay” Button. 4. The main menu form will be presented as shown below: File: User Guide 20051205 Page 23 of 185 Last printed 2/8/2008 9:14 AM Missouri Botanical Garden & Affiliated Companies -- Version 1.4.2 -- Serenic Navigator User Guide October 2005 5. The user should confirm that they have gained access to the portion of the accounting software that they were intending to access. The screen header indicates the Environment and Company (in this case, “Sandbox – MBG”). The main menu form also displays the company name and / or logo for added visual reference. 6. The user should choose the portion of the application they intend to access from the choices in the left navigation of the menu form. Alternative login procedure – with Database login screen: 1. If the user opens the software and the simple login form does not appear, but rather the database login form is presented (shown below): The user should insure that the Server Name is “MBGSERV07”. The database name should be selected (if blank). The Authentication should be “Database Server Authentication”. The user id should be entered, if not defaulted in. The User’s password should be entered in the Password field. The “Okay” button should be clicked. 2. If values for all fields are defaulted onto the form (as is shown in the screenshot above), then the user must type in his/her password prior to attempting to make any changes to the form. After the user’s password is entered, and the “Okay” button is clicked, they will be granted access to the software. File: User Guide 20051205 Page 24 of 185 Last printed 2/8/2008 9:14 AM Missouri Botanical Garden & Affiliated Companies -- Version 1.4.2 -- Serenic Navigator User Guide October 2005 3. After logging into the software, the user should confirm which environment (database) and company they have logged into. If they are in the wrong environment or company, they should navigate to the new company or database (see next procedure) Alternative login procedure – with nearly “blank” screen: 1. If the user opens the software by clicking on their desktop icon, or by otherwise navigating to the software, and they are presented with the nearly blank screen shown below: The user should click on the “File” command in the upper toolbar. After clicking on “File” the user should be presented with a screen similar to the one shown below: File: User Guide 20051205 Page 25 of 185 Last printed 2/8/2008 9:14 AM Missouri Botanical Garden & Affiliated Companies -- Version 1.4.2 -- Serenic Navigator User Guide October 2005 2. From this screen, the user has a couple of options to complete the login process. a. Option A: If the user has a history of logins displayed on the bottom of the drop down menu (as is shown above), the user can click on the appropriate database-company combination. They will be presented with a typical login screen after selecting the database-company combination. b. Option B: The user can complete a new navigation to, first, a database and then, secondly, a company. This can be accomplished by following the steps outlined below. 3. To navigate to a new database, from the screen shown above, select “Database Æ Open” as shown below: File: User Guide 20051205 Page 26 of 185 Last printed 2/8/2008 9:14 AM Missouri Botanical Garden & Affiliated Companies -- Version 1.4.2 -- Serenic Navigator User Guide October 2005 4. After selecting “File Æ Database Æ Open”, the user will be presented with the database login (discussed in the section above, and depicted below): File: User Guide 20051205 Page 27 of 185 Last printed 2/8/2008 9:14 AM Missouri Botanical Garden & Affiliated Companies -- Version 1.4.2 -- Serenic Navigator User Guide October 2005 5. From the database login screen (shown above), the user should insure that the Server Name is “MBGSERV07”, the Authentication is “Database Server Authentication” and that their User ID is entered, prior to attempting to enter any other information. After the User ID field information is entered, the user should enter their password. Prior to clicking “OK”, the user should select the appropriate Database Name, or insure that the one which is entered in this field is correct. When all of the fields are correctly entered, the user should click the “OK” button. 6. After completing the process described above (logging into the database), the user will be presented with another screen which appears to be mostly blank, as shown below. The user should note that the header of the screen should contain the database name information for the database to which they just logged in. File: User Guide 20051205 Page 28 of 185 Last printed 2/8/2008 9:14 AM Missouri Botanical Garden & Affiliated Companies -- Version 1.4.2 -- Serenic Navigator User Guide October 2005 7. To continue, the user should log into the Company they desire. To do this, the user should navigate “File Æ Company Æ Open”, as shown below: File: User Guide 20051205 Page 29 of 185 Last printed 2/8/2008 9:14 AM Missouri Botanical Garden & Affiliated Companies -- Version 1.4.2 -- Serenic Navigator User Guide October 2005 8. After completing the navigation of “File Æ Company Æ Open”, the user will be presented a list of companies to which they have access. For many users, the list will only contain one company name. When presented with the list of companies, the user should select the one they desire and click the “OK” button. After the “OK” button is clicked, the main menu navigation for that company will appear to the user & they will have completed the database and company login procedure. Moving from Company to Company or Environment (database) to Environment (database) Procedure If a user has logged onto the software and finds that they are not in the correct company or correct environment (database), they will need to navigate to the correct company or environment. Company – to – Company moves (within one database) can be accomplished without the need to login to the new company (provided the user has access rights to the new company). As an example, if a user has access to both MBG and MBG Properties, they can move from “Production – MBG” to “Production – MBG Properties” without having to login to the new company. Environment (database) – to- Environment (database) moves will always require that a new login procedure be used. This is true, even if the company names are the same. As an example, if a user has access to MBG, when they move from “Production – MBG” to “Sandbox – MBG”, a new login will be required. If they also have access to MBG Properties, when they move from “Production – MBG” to “Sandbox – MBG Properties”, a new login will be required. Cross Company and/or Environment (database) Navigation – Option 1: 1. Once the user is logged in to the software, they can select one of their 5 most recently visited “Environment – Company” combinations by clicking “File” in the header menu. The menu that drops down will display the most recently visited “Environment – Company” combinations (up to the most recent 5). Additionally, a checkmark will be placed next to the “Environment – Company” combination in which you are currently logged in. (Sandbox – MBG, in the example below): File: User Guide 20051205 Page 30 of 185 Last printed 2/8/2008 9:14 AM Missouri Botanical Garden & Affiliated Companies -- Version 1.4.2 -- Serenic Navigator User Guide October 2005 2. The number of most recently visited Environment – Company combinations displayed in the drop down list can vary from user to user, but will not exceed 5. In order to navigate to another Environment – Company combination, click on the appropriate combination. 3. If you have chosen to move into a new Environment (database) (e.g. Production to Sandbox or vice versa), you will be prompted to login to the software. Cross Company and/or Environment (database) Navigation – Option 2: 1. Once the user is logged in to the software, they can select a company or Environment (database) by using the navigation under “File” in the header. 2. To move to another company, follow the menu path of: File – Company – Open. The user will be presented with a menu of companies, from which to select the company to which they would like to navigate. As shown below: File: User Guide 20051205 Page 31 of 185 Last printed 2/8/2008 9:14 AM Missouri Botanical Garden & Affiliated Companies -- Version 1.4.2 -- Serenic Navigator User Guide October 2005 3. From the list of companies, the user can select the company to which they would like to navigate and click “okay”. The user will be will then be presented the main menu screen of the destination company. WARNING: Do not follow the menu path of “File – Company – New”. This path is available to some users so that new companies can be created in the software. Most users will not be able to access the software using the “File – Company – New” path. 4. To move to another database (or Environment), follow the menu path of “File – Database – Open”. The user will be presented with the login screen, as shown below: File: User Guide 20051205 Page 32 of 185 Last printed 2/8/2008 9:14 AM Missouri Botanical Garden & Affiliated Companies -- Version 1.4.2 -- Serenic Navigator User Guide October 2005 5. The user should enter their password in the login screen, prior to attempting to change any other entries on the login screen. 6. After the user’s password is entered in the Password field, the user can select another Database Name, from the drop down list provided on the form. 7. After the form is populated with the destination database name, the user should click the “Okay” button. 8. After clicking “Okay”, the user will be navigated to the desired Environment (database), but not associated to any specific company. To access a specific company, see the instructions listed above. File: User Guide 20051205 Page 33 of 185 Last printed 2/8/2008 9:14 AM Missouri Botanical Garden & Affiliated Companies -- Version 1.4.2 -- Serenic Navigator User Guide October 2005 1.3.3.4. Changing User Password To change the password of a user, follow this procedure: 1. From anywhere within the application, click your way through the upper toolbar menu path of: Tools – Security – Password. 2. The Change Password window appears: 3. After entering your current password and then entering and reentering your new password, click OK and the user password has been undated. It is important to remember that the new password will not take effect until the next time the user logs into the system. 1.3.4. Security – Data Access User’s data access can be controlled through Access Business Rules and through Report access/permissions. For example, the Division leads, generally, are to be setup with access to the data for their division only. This is controlled by assigning the user to a User Group of “DIV-839”, and, by creating an Access Business Rule for anyone who has a User Group of “DIV-839”. This section of the User Guide will provide information on: File: User Guide 20051205 Page 34 of 185 Last printed 2/8/2008 9:14 AM Missouri Botanical Garden & Affiliated Companies -- Version 1.4.2 -- Serenic Navigator User Guide October 2005 • Establishing User Groups • Establishing Access Business Rules • Assigning Report Access 1.3.4.1. Establishing User Groups User Groups can be established as a way to assign access rules to a number of users (rather than a single specific user). User Groups can also be used for no functional purpose other than as a way to create a characteristic of a user, or a label, which may be used for some reporting purpose. The Garden is leveraging the functional reason for establishing User Groups, by having the User Group designation work in conjunction with Access Business Rules, to limit data access. To setup a User Group, from the General Ledger menu, the user should navigate to: Setup Æ Users Æ User Groups, as shown below: After completing the navigation, the user will be presented with the screen below: File: User Guide 20051205 Page 35 of 185 Last printed 2/8/2008 9:14 AM Missouri Botanical Garden & Affiliated Companies -- Version 1.4.2 -- Serenic Navigator User Guide October 2005 To create a new User Group, the user should simply navigate to the first open line and enter a code, then tab to the next field to enter a description for that code. You may notice from the screenshot above, that, to date, the Garden has established two types of User Codes. One type of Code is simply used as a label or characteristic of a user (e.g. Accounting, Consultant, Executive, MGR, Users). These User Codes have no functional purpose associated with them, other than to serve as a way to group types of users. After the application had been in use for some time, and after the Garden decided to grant access to users outside of the Controller’s Office, the need to control access to GL data became apparent. Since Access Business Rules could be applied to User Groups, it was decided that the use of the User Group field would be changed from its original use (e.g. Accounting, Consultant, etc.) to a more specific use so that user’s could be assigned data access permissions. NOTE: File: User Guide 20051205 Each user can only be assigned to one User Group. It is important to know how the User Group designation is used for data control purposes within the application. As an example: An individual user may be both a Manager and require access to Division 839’s data. It is not possible to associate them to both the MGR group and the DIV-839 group. Since the MGR group provides no functionality & since the DIV-839 group assignment is required to control data access, the user should be assigned a User Group of DIV-839 Page 36 of 185 Last printed 2/8/2008 9:14 AM Missouri Botanical Garden & Affiliated Companies -- Version 1.4.2 -- Serenic Navigator User Guide October 2005 In the future, the Garden may want to provide an even more refined level of control to data access (say, to the Department level). This can be accomplished by creating User Groups for the appropriate Departments, and then developing Access Business Rules for the Departments as well. 1.3.4.2. Establishing Access Business Rules “Business Rules” provide a way in which a Super user can control user access to data, account validations, approval processing requirements, budgetary controls or procurement controls. The most frequent use of the Business Rule capability is to create valid combinations of account segments (or dimension values). This capability is used to establish which GL accounts will work with which funds, departments, projects, etc. In order to support the frequent use of this capability, the Garden invested in creating some special forms to ease the creation of the business rules. These special forms (discussed in the GL section and Projects section of this document) produce business rules, which can be accessed through the form shown below. To find the business rule form, the Super user should navigate from the General Ledger menu from Setup Æ Business Rules, as shown below: Upon completing the navigation, the Super user will have access to a form similar to the one shown below: File: User Guide 20051205 Page 37 of 185 Last printed 2/8/2008 9:14 AM Missouri Botanical Garden & Affiliated Companies -- Version 1.4.2 -- Serenic Navigator User Guide October 2005 As with other forms in Serenic Navigator, the user can key “F3” to be provided with a blank version of the form. To create a User Access business rule, the user should first assign the business rule a code. The Garden has chosen to use a convention for access business rules, beginning with UG (for User Group), followed by the abbreviation of the segment used for control (in this case “DIV” for Division), followed by the value of the segment used for control (in the example above “839” for division 839). After establishing the code for the rule, the Super user should set the Effective Date and Description of the rule to help support the future administration and maintenance of the rules. The Super user should also indicate, by checking the appropriate box, the type(s) of business rule being developed. It should be noted that, to date, the Garden has only constructed business rules which serve a single purpose (e.g. either Approval, or Budget, etc.). The Garden has not attempted to take on the complexity associated with creating single rules with multiple purposes. After completing the information in the header of the General tab of the business rule, the Super user should define to which transactions the rule will be applied. In this case, the rule will be applied based on User Groups, so the “Business Object Code” designation of “USERGROUP” is selected, and the specific User Group of “DIV-839” is identified. Given all of what has been entered on the General Tab of the Business Rule card, the software now “knows” that for transactions originating from a user, with a User Group designation of DIV-839, some specific actions are to be taken. Those specific actions are defined on the subsequent tabs of the business rule. File: User Guide 20051205 Page 38 of 185 Last printed 2/8/2008 9:14 AM Missouri Botanical Garden & Affiliated Companies -- Version 1.4.2 -- Serenic Navigator User Guide October 2005 Since this section is about creating a business rule for User Access, the Super user should open the tab labeled “User Access”. The will see a form similar to the one shown below: On this tab of the business rule card, the Super user should specify the data to be controlled. As shown above, the Business Object Code of “Division” is identified and the Filter value of “839” has been chosen. This rule has established that users, who belong to User Group “DIV-839”, now have data access only to data posted to Division 839. To put this rule into effect, the Super user should click “Functions Æ Verify”. This step will both verify that the rule is possible (e.g. that it has been written for a valid Division number) and that it is Active (currently being used by the software). If a rule is Inactive, it will not create its intended outcome. In this case, if the Access business rule was inactive, then the software would not use the User Group designation of DIV-839 to control access to Division 839 data only. NOTE: File: User Guide 20051205 If a user has no User Group designation, or a User Group designation for which no ACTIVE rules apply, then that user has access to all data available through the users’ access permissions and reporting. Since other aspects of security offer layers of control for user access to the software and reports, it is possible to have users setup with non-functional User Groups to which no Active business rules are attached without providing a security issue. As an example, if a user is identified within the application for the sole reason of being a recipient of specific project reports and they will not have direct access to the application, then Page 39 of 185 Last printed 2/8/2008 9:14 AM Missouri Botanical Garden & Affiliated Companies -- Version 1.4.2 -- Serenic Navigator User Guide October 2005 establishing a User Group and business rules may not be necessary. That type of user’s access to data is already controlled via their access to reports. 1.3.4.3. Assigning Report Access An individual user’s access to reports can be controlled via their User Card Report List. This list can be found by navigating from the General Ledger Menu Æ Setup Æ Users Æ User Setup Æ on the User Card, click the User button at the bottom Æ Report List, as shown below: The User’s Report List will be displayed, as shown in the sample below: File: User Guide 20051205 Page 40 of 185 Last printed 2/8/2008 9:14 AM Missouri Botanical Garden & Affiliated Companies -- Version 1.4.2 -- Serenic Navigator User Guide October 2005 To ADD a report to the list, the Super user should click on the first available line under the Report ID, delete the “0” if it appears and use the drop down list to select the report number they wish to assign to the individual. When it is selected, tab out of the field and the adjacent Report Name field to complete the assignment. To DELETE a report from the list, simply highlight the line of the report to be deleted and click the delete key. In some instances, a Super user may not be able to assign a report to a user, because the report is not available for the user menu assigned. For example, the Super user wouldn’t be able to, nor likely want to assign a Purchases & Payables report to a user who does not have menu access nor permissions for that aspect of the software. If a need arises to make a report assignment that is not available on the user’s menu, the Super user should contact the Implementation Consultants (ICSAdvantage). See Appendix __ for details and samples of report setups for various roles. File: User Guide 20051205 Page 41 of 185 Last printed 2/8/2008 9:14 AM Missouri Botanical Garden & Affiliated Companies -- Version 1.4.2 -- Serenic Navigator User Guide October 2005 1.4. Miscellaneous System / Setup “How To …” 1.4.1. Assign a default printer to a report In some cases, such as with the label report, the users want to define where the report should print so that their default Windows printer does not attempt to print the document. The label report, generated while receiving invoices, should be printed to the local Dymo LabelWriter printer rather than any other printer available to the user. To assign a default printer to a report, from the General Ledger Menu, navigate to Setup Æ Printer Selections, as shown below: After selecting “Printer Selections” the user will be presented with the form shown below: File: User Guide 20051205 Page 42 of 185 Last printed 2/8/2008 9:14 AM Missouri Botanical Garden & Affiliated Companies -- Version 1.4.2 -- Serenic Navigator User Guide October 2005 To create a new printer selection, the user can simply navigate to the first available blank line and begin to create the appropriate values. If the UserID field is left blank, the selection will be applied to all users. To create a user specific use of a printer for a report, simply insert the specific user id in the User ID field of the line. The next step is to identify the report which is to be directed to a specific printer. This is best accomplished by clicking on the look-up / drop down arrow available in the Report ID field. The user can then select the report from the list provided. Lastly, the Printer Name should then be selected. In order to avoid any possibility of data entry error, the printer selection should be performed from the drop down list available for this field. After all the appropriate fields have been completed, the user should simply tab out of the last field to save their changes. 1.4.2. Add a newly developed report to a Menu After a report has been developed it needs to be added into the list of reports available under a menu. This is a prerequisite for assigning the report to individual users. In order to complete this step, the report must first exist in the list of Objects in the Object Designer table for Reports File: User Guide 20051205 Page 43 of 185 Last printed 2/8/2008 9:14 AM Missouri Botanical Garden & Affiliated Companies -- Version 1.4.2 -- Serenic Navigator User Guide October 2005 2. General Ledger 2.1. Setup See Serenic Navigator Training Manual for detail 2.2. Chart of Accounts See Serenic Navigator Training Manual for detail 2.3. Bank Accounts See Serenic Navigator Training Manual for detail 2.4. Funds See Serenic Navigator Training Manual for detail 2.5. Budget Planning See Serenic Navigator Training Manual for detail 2.6. Account Schedules See Serenic Navigator Training Manual for detail 2.7. General Journals See Serenic Navigator Training Manual for detail 2.8. Monthly Closing Process See Serenic Navigator Training Manual for detail 2.9. General Ledger Reports There are a wide variety of reports available within Serenic to report on General Ledger information. Three which are widely used, and will be discussed in some detail in this user guide include: File: User Guide 20051205 Page 44 of 185 Last printed 2/8/2008 9:14 AM Missouri Botanical Garden & Affiliated Companies -- Version 1.4.2 -- Serenic Navigator User Guide October 2005 • Custom Trial Balance w/ Budget report • Custom Trial Balance Detail or Summary report • Custom Trial Balance Detail with Payroll report 2.9.1. Custom Trial Balance w/ Budget report This report displays actual results, encumbrances, budget and variances for both a userdefined period and fiscal year to date, per natural account. The data displayed is controlled through the use of filters. In order to produce this report, the user will navigate, on the General Ledger Menu to Reports Æ Custom Trial Balance w/ Budget Æ Print, to see: Most often, this report will be run on a Department basis. The user should select the department of choice on this tab of the print parameters form. Alternatively, the user could select a Division Field and Filter value to report at a Division level. On the GL Account tab, the user will see something like the screenshot below: File: User Guide 20051205 Page 45 of 185 Last printed 2/8/2008 9:14 AM Missouri Botanical Garden & Affiliated Companies -- Version 1.4.2 -- Serenic Navigator User Guide October 2005 On this form, the user can restrict the report to a single GL number or range of GL numbers. The user MUST also assign a Date Filter. The date filter normally will be the range of dates across which the user wants to generate a report. As an example, if the user wants to see the results for February 2005, they would enter “020105..022805” in the date filter range. The system will also accept the use of “/’s” in the date format, but it is not required. Typically, the user will also need to specify a Fund Filter, such as “01U”. Any filter fields left blank will not be used to restrict the generation of the report. The Options tab, shown below, can be used to further refine the way in which the report is generated: File: User Guide 20051205 Page 46 of 185 Last printed 2/8/2008 9:14 AM Missouri Botanical Garden & Affiliated Companies -- Version 1.4.2 -- Serenic Navigator User Guide October 2005 After establishing all of the reporting parameters & setting the filters to the desired data sets, the user can click either the “Print” button on the “Preview” button to generate the report. The Preview button will allow the user to see the report on their monitor prior to sending it to the printer. A sample of the Custom Trial Balance w/ Budget report is shown below: File: User Guide 20051205 Page 47 of 185 Last printed 2/8/2008 9:14 AM Missouri Botanical Garden & Affiliated Companies -- Version 1.4.2 -- Serenic Navigator User Guide October 2005 2.9.2. Custom Trial Balance Detail and Summary reports The report parameters contained in the Dtl/Summ report determine whether it is produced in the Detail or the Summary format. This report allows a number of different parameters & filters to be used for generating the report. As a result, the “look” of the report will change based on the report parameters and filtering defined by the user. The Detail version of this report will depict summary and detail information for all accounts with the exception of payroll related accounts. Only summary information will be provided for payroll related accounts. In order to produce this report, the user will navigate, on the General Ledger Menu to Reports Æ Custom Trial Balance Dtl/Summ Æ Print, to see: File: User Guide 20051205 Page 48 of 185 Last printed 2/8/2008 9:14 AM Missouri Botanical Garden & Affiliated Companies -- Version 1.4.2 -- Serenic Navigator User Guide October 2005 The filter values on the GL Account Combos tab allows the user to specify: • The Transaction Type – almost always “Actual” • The GL Account No. – normally left blank to see all accounts, but can be used to specify a single account or a range of accounts • The Date Filter – a required field, used to establish the range of dates required for a report. Typically, this would be set for a month • The Fund No. – typically would be set for the Operating Fund (e.g. 01U for MBG) • The Department Code – typically this would be set for a single department • The Location Code – typically left blank. This field may come into use when the Garden pursues the automation of indirect expenses • The Division Code – typically left blank, if the Department Code is used. It the Department code is blank, the Division can be specified to collect the GL info for the Division • Other fields – typically left blank On the GL Entry tab, the user will see: File: User Guide 20051205 Page 49 of 185 Last printed 2/8/2008 9:14 AM Missouri Botanical Garden & Affiliated Companies -- Version 1.4.2 -- Serenic Navigator User Guide October 2005 Typically, both these fields are left blank, when the report is generated for operating department / division results reporting. On the Options tab, the user will see: File: User Guide 20051205 Page 50 of 185 Last printed 2/8/2008 9:14 AM Missouri Botanical Garden & Affiliated Companies -- Version 1.4.2 -- Serenic Navigator User Guide October 2005 This tab is very influential in controlling how the report is presented: • The “Show” button choices include: o o o File: User Guide 20051205 All Accounts – displays all GL accounts regardless of whether the accounts are “in use” for the department / division Accounts with Balances – displays only those GL accounts that contain balances for the chosen department / division Accounts with Activities – displays only those GL accounts that reflect transactional activity during the date range specified • The “New page per Account” checkbox – enables page breaks after each account. This is typically not chosen when running department / division reports • The “New page per Depart” checkbox – enables page breaks after each department. This is typically not chosen when running a single department’s reports. It is a helpful selection when running a division’s report, which contains multiple departments. • The “Print Transactional Detail” checkbox – enables the presentation of transaction level detail for the report parameters. To produce the Summary report, leave this unchecked. To produce the Detail report, check this checkbox. • The “Print Source Names” checkbox – enables a display of vendors or customer names for transaction level detail if desired • The “Print MSGP Accounts” checkbox – enables a display of the Microsoft Great Plains (previous accounting software) accounts. This Page 51 of 185 Last printed 2/8/2008 9:14 AM Missouri Botanical Garden & Affiliated Companies -- Version 1.4.2 -- Serenic Navigator User Guide October 2005 selection has been helpful while the organization transitions their use and knowledge of the new accounting codes. At some point, this option will almost always be unused. • The “Use Additional Reporting Currency” – enables display in something other than US Dollars, had the application been setup to handle multiple currencies. This checkbox is always unused by the Garden. • Sort By: o o 2.9.3. “Fund, Department, Natural Account” – orders the report printout as described. This is the typical choice for printing department / division reports “Fund, Natural Account, Department” – orders the report printout as described. This approach may be used by members of the Controller’s Office or others who have a need to review data on a cross-department basis. • The “Print” button sends the report to the selected printer without a preview • The “Preview” button allows an on screen preview of the report prior to sending it to a printer. This is the recommended approach, in that it allows the user to assess the appropriateness and size of the report prior to printing. Custom Trial Balance Detail with Payroll report The Custom Trial Balance Det/Summ report with Payroll report will provide Payroll detail, which is associated with employee names/clock numbers. This information is treated as confidential within the Garden organization. As a result, access to this report will be controlled on a limited basis. This report will operate in the same way as the Custom Trial Balance Detail report, with the exception that payroll related detail will be provided. There is no “summary” version of this report, since presenting summary information for all, except payroll accounts and detail information for payroll related accounts was deemed to be an unusual way of presenting information. 2.10. Miscellaneous GL “How To …” 2.10.1. Change the work date If the user wants to consistently date their data entry work to a day other than “today” they can change the work date used by the system for that user. This capability would only be used by personnel in the Controller’s Office. The work date and the posting dates are independent values. A posting date can be set to a value other than “today” without having to change the work date. In order to change the work date, the user should navigate through the top menu bar from Tools Æ Work Date, to display the form shown below: File: User Guide 20051205 Page 52 of 185 Last printed 2/8/2008 9:14 AM Missouri Botanical Garden & Affiliated Companies -- Version 1.4.2 -- Serenic Navigator User Guide October 2005 After the user has reached this form, a new work date can be entered into the system. The user should click the “OK” button to finalize their selection of a work date. File: User Guide 20051205 Page 53 of 185 Last printed 2/8/2008 9:14 AM Missouri Botanical Garden & Affiliated Companies -- Version 1.4.2 -- Serenic Navigator User Guide October 2005 3. Projects Details to be provided later. Consult the Projects Design Concept document for further details. 3.1. Project Setup 3.1.1. Project Card 3.1.2. Project Validation Business Rule Entry 3.1.3. Project Budget Business Rule Entry 3.1.4. Project Report Distribution File: User Guide 20051205 Page 54 of 185 Last printed 2/8/2008 9:14 AM Missouri Botanical Garden & Affiliated Companies -- Version 1.4.2 -- Serenic Navigator User Guide October 2005 3.2. Project Reports 3.2.1. Overview There are a variety of reports available within the accounting software that have been prepared for use by the Garden and affiliated company personnel. In addition to the prepared Serenic reports, the data contained within the accounting software can be accessed through the application forms, queries and/or through the use of a custom reporting tool (Jet Reports). Most of the time, users will interact with the data through the use of the prepared Serenic reports. This portion of the Users Guide will address how the prepared reports can be generated and reviewed in a client/server environment and over the web. The Serenic reports are constructed for projects that are budget based or for projects that do not have a budget. The projects with budgets have their actual vs. budget variances displayed through the “budget variance family” of reports. Both budget based projects and projects without a budget can be reported using either the non-budget project reports or the budget variance family of reports. If a project with a budget is reported on through the use of the non-budget reports, the budget and variance information is simply not displayed. If a non-budget project is reported through the use of one of the budget variance family of reports, then the budget will be reflected as $0 and the variance will be displayed as a comparison of the actual vs. a budget of $0. Hence all revenues and expenses would appear as a variance. To best utilize the reporting capabilities provided, projects with budgets should be reported using the budget variance family of reports. Projects without budgets should be reported using the non-budget family of reports. The reports are structured to provide varying levels of data detail. 1st level Æ The Project Balance Report – provides a bottom line comparison of project revenue and expenses for all projects reported. 2nd level Æ The Project Summary (or Project Budget Variance Summary) Report – provides detail the natural account level 3rd level Æ The Project Detail (or Project Budget Variance Detail) Report – provides transaction level detail information, except for salary related expenses 4th level Æ The Project Detail with Payroll (or Project Budget Variance Detail with Payroll) Report – provides transaction level detail for all accounts including payroll detail File: User Guide 20051205 Page 55 of 185 Last printed 2/8/2008 9:14 AM Missouri Botanical Garden & Affiliated Companies -- Version 1.4.2 -- Serenic Navigator User Guide October 2005 This is illustrated in the table below: Report Name(s) Brief report description & how this report would be used Project Listing The Project Listing report provides a simple listing of all the projects contained in the accounting application, their project name, PI and status. This report will be used by the Project Administrator(s) to provide consolidated oversight to the project status levels Project Report Recipients The Project Report Recipients report contains a listing of all the projects contained in the accounting application and who is currently authorized to receive reports for each project. This report will be used by the Project Administrator(s) to provide consolidated oversight to the project report recipient list. Project Balances Report The Project Balances Report provides “one line” status for all the projects viewable by the user. It reports income & expense totals status along with balance remaining. It also contains notes added by the Project Administrator(s). This report will be used by Project Administrators and Garden management to provide consolidated oversight to the financial status of project efforts. Projects with budgets Project Budget Variance Summary Projects without budgets Project Summary The Summary reports display financial results for the project, for the desired period, summarizing data to the natural account (e.g. 6000 - Salaries-Full Time, 7210 - Supplies, 7070 Consultants, etc.). This report will be used by the Project Administrator, PI and Division leaders to review project receipts and expenses to the natural account level of detail. Project Budget Variance Detail Project Detail The Detail reports project transaction level information for the desired period, and summarize the information to the natural account. This report will be used by the Project Administrator and PI to review transactional level detail of the project receipts and expenditures. Project Budget Variance Detail with Payroll Project Detail with Payroll The Detail with Payroll report will provide further detail to the payroll related expenditures displayed in the Detail report. This report will include transactional level detail for payroll activities (after the detailed data is imported via an interface from the payroll application) Distribution of this report will be limited. 3.2.2. Generating Reports – Client/Server Application In order to generate reports in the client / server application, the user must first be authorized to do so. Their authorization is controlled by the system administrator and is secured through the user setup procedures for the software. File: User Guide 20051205 Page 56 of 185 Last printed 2/8/2008 9:14 AM Missouri Botanical Garden & Affiliated Companies -- Version 1.4.2 -- Serenic Navigator User Guide October 2005 After the user logs in to the application, within the appropriate company, they will be presented with the initial menu of choices. From this menu (see below), the user should select “Projects”, in the left navigation. File: User Guide 20051205 Page 57 of 185 Last printed 2/8/2008 9:14 AM Missouri Botanical Garden & Affiliated Companies -- Version 1.4.2 -- Serenic Navigator User Guide October 2005 When the Projects menu is available, the user should select “Reports” from the right side of the main body of the menu (see below): File: User Guide 20051205 Page 58 of 185 Last printed 2/8/2008 9:14 AM Missouri Botanical Garden & Affiliated Companies -- Version 1.4.2 -- Serenic Navigator User Guide October 2005 The user will be presented with the menu of reports shown below once the user is in the Reports section of the Project portion of the application (see below). The user should select the name of the report to be run from this menu File: User Guide 20051205 Page 59 of 185 Last printed 2/8/2008 9:14 AM Missouri Botanical Garden & Affiliated Companies -- Version 1.4.2 -- Serenic Navigator User Guide October 2005 When the user selects a report, they will be presented with a menu of parameters and options to consider when generating the report. To begin the report generation process, the user should click the “Print” button. After clicking the “Print” button, the Budget Variance Detail report parameters and options will be displayed, as shown below: The user can filter the data based on any of the displayed parameters, viewing the valid choices by using the look-up arrow/button to the right of the filter data line. The user can assign values or ranges of values to the “Field” parameters shown on the form. NOTE: When entering data ranges and data values, there are some specific keystroke techniques that can be and should be used to facilitate the data entry. These are listed in the appendix. Some examples: • Entering “050104..053104” in the date filter will produce a report for the period of 5/1/2004 – 5/31/2004. • Entering “’’..053104” (typed as: two single apostrophes period period 053104) will produce a report for the period of “beginning of accounting to 5/31/04 Additionally, the user can select any other “Field” parameter used by Projects by clicking on the first blank line, and selecting (from the lookup) the type of field to be used for filtering. File: User Guide 20051205 Page 60 of 185 Last printed 2/8/2008 9:14 AM Missouri Botanical Garden & Affiliated Companies -- Version 1.4.2 -- Serenic Navigator User Guide October 2005 As a simple example of parameter filtering, to see all of the Division 919 projects for the period of 05/01/04 thru 05/31/04, the filtering data would be entered as shown below: File: User Guide 20051205 Page 61 of 185 Last printed 2/8/2008 9:14 AM Missouri Botanical Garden & Affiliated Companies -- Version 1.4.2 -- Serenic Navigator User Guide October 2005 After the filtering information is established to the user’s satisfaction, “Options” for the report generation should be considered. The options tab appears as shown below: Different reports have different options available for use. The listing of report names and options is displayed below: File: User Guide 20051205 Page 62 of 185 Last printed 2/8/2008 9:14 AM Missouri Botanical Garden & Affiliated Companies -- Version 1.4.2 -- Serenic Navigator User Guide October 2005 After the parameters for the report and the options for the report have been established to the user’s satisfaction then the “Print..” button or the “Preview” button can be clicked. The “Print..” button sends the report to a printer, while the “Preview” button provides the user with a display of the report on their monitor. In either case, selecting “Print..” or “Preview” will cause the report to begin to generate. It is possible to first Preview a report, and then to send it to a printer if the report is satisfactory. The time required to generate the report will depend on how narrowly the user defined the parameters. WARNING: If no filter parameters are selected, the software application will generate a report for all projects. This will result in a 1000+ page report. The user also has the option to “Cancel” the report generation by selecting the “Cancel” button at any time during the preparation of the report. File: User Guide 20051205 Page 63 of 185 Last printed 2/8/2008 9:14 AM Missouri Botanical Garden & Affiliated Companies -- Version 1.4.2 -- Serenic Navigator User Guide October 2005 3.2.3. Generating Reports – Web-based UNDER DEVELOPMENT File: User Guide 20051205 Page 64 of 185 Last printed 2/8/2008 9:14 AM Missouri Botanical Garden & Affiliated Companies -- Version 1.4.2 -- Serenic Navigator User Guide October 2005 3.2.4. Reading / Using Project Reports The reports commonly used by PI’s are illustrated and described in detail below: 3.2.4.1. Project Balance Report Sample report: Data or Field Field label Description company: Will display one of the five companies used in the accounting Location Upper-header left system (Missouri Botanical Garden, MBG Properties, Gateway Greening, Inc., Center for Plant Conservation, Inc. or Garden District Commission) Upper-header report: Will display the name of the report. left Upper-header as of: left Upper-header File: User Guide 20051205 Will display the date chosen on the Options tab when the report was printed. presented by: Will display the order in which the report data is presented. The Page 65 of 185 Last printed 2/8/2008 9:14 AM Missouri Botanical Garden & Affiliated Companies -- Version 1.4.2 -- Serenic Navigator User Guide October 2005 Data or Field Field label Description Location left choice for the order of presentation is made on the Options tab at the time the report is printed. Choices include: Fund, Department, or Primary Investigator. Most often this report will be run for a large number of projects (e.g. all Fund 02U projects, or all of Division 921 projects). For simplicity’s sake, the sample report displayed above was only run for one project. Hence, the order of presentation is not meaningful, as displayed, but it would be for a larger report. Upper-header Rollup: Will display “Yes” or “No”. Some projects are organized within a left “parent-child” relationship, with the “parent” project being the main project and/or the project under which receipts will be recognized. If the report is generated to consolidate or “rollup” all of the sub (or “child”) projects into the Parent project, then the Rollup field will display “Yes” Upper-header Last Closed The Last Closed Accounting Period reflects the month for which left Accounting Period: all accounting entries are completed. Typically, some manual accounting entries (such as posting of Indirect Expenses for a period) occur after the calendar month is over, but are posted to the period in which the expenses were incurred. When an accounting period is closed, no more accounting entries will be posted to that period. It should also be noted that the date for which the report can be generated can be different than the most recently closed accounting period. As an example, the report can be run with today’s date; even if the most recently closed accounting period is some date in the past. Upper-header No label left Filter information: the information in this area of the report indicates how the report was generated & how the data was filtered for the report. In the example, only project FOR03612 was selected and only for the date of 5/31/04. Upper-header Unlabeled The date and time of the report printing are displayed Unlabeled The page number is listed Unlabeled The user id of the person generating the report is displayed No label The “presented by” values are displayed as a “sub-header”. In right Upper-header right Upper-header right Column header the example above, sorted by Fund, the sub-header of “Fund: 02U” is displayed to the far left of the body of the report at the top of the Fund 02U data. Column header Project No. Displays the Project Numbers of all Projects included in the reporting Column header Project Name Displays the Project Name of all Projects included in the reporting File: User Guide 20051205 Page 66 of 185 Last printed 2/8/2008 9:14 AM Missouri Botanical Garden & Affiliated Companies -- Version 1.4.2 -- Serenic Navigator User Guide October 2005 Data or Field Field label Description Column header Fund No. Displays the Fund No. associated with the Project Column header Dept Location Displays the “home department” associated with the Project, if any. Many projects (all Fund 02U projects) will have a home department associated with the projects. All non-labor expenses will be associated to this department. Labor expenses will be associated to the home departments of the individuals charging the projects with time. Column header Revenue as Displays the total amount of Revenue that is associated to the of: project as of the specified date. MM/DD/YY Column header Expenses Displays the total amount of Expenses posted to the project as as of: of the specified date. MM/DD/YY Column header Encumbrances Displays the total amount of Encumbrances posted to the project as of: as of the specified date. MM/DD/YY An encumbrance is created by through a posted purchase order within the accounting system. Commitments with vendors for purchases are made at the time the order is placed. After the invoice is entered in the system by the Controller’s Office personnel then encumbrances become “actual costs”. The encumbrances as of the end of the filtered date range will be displayed in the data. Column header Column header Total Expended & The project actual costs (life to date, as of the date displayed) Encumbered and encumbrances (as of the date displayed) will be added as of together to represent all of the “Expended & Encumbered MM/DD/YY dollars” for the project. Available Displays the net amount of Revenue less Total Expended & Balance as Encumbered. of MM/DD/YY Column header Primary Investigator Displays the single person identified as the Primary Investigator for the project. The project may have “co-PI’s” assigned to the project efforts. Each project will have one person identified as the Primary Investigator. For projects that are not related to research efforts, the Primary Investigator is the key contact / project manager of the project effort. Report body Data for the selected range of projects will be reported, as of the date selected for reporting. The data will be organized, as chosen on the Options tab when printing the report. Totals will be generated to coincide with the way in which the report is presented. Typically many projects will be listed. If the Project Administrator File: User Guide 20051205 Page 67 of 185 Last printed 2/8/2008 9:14 AM Missouri Botanical Garden & Affiliated Companies -- Version 1.4.2 -- Serenic Navigator User Guide October 2005 Data or Field Field label Description Location has added comments to the project, for use in this report, the comments will be displayed on the line(s) immediately under the corresponding project. The sample does not show any comments. Receipts are displayed as positive numbers. Costs are displayed as negative (-) numbers. If a Transfer removes funds from the project it will be displayed as a negative (-) number. If a Transfer adds funds to the project, it will be displayed as a positive number. Footer No label In order to clearly define the types of Revenue or Expenses that are included in the report & where they are reflected in the report, the footer comments have been added. File: User Guide 20051205 Page 68 of 185 Last printed 2/8/2008 9:14 AM Missouri Botanical Garden & Affiliated Companies -- Version 1.4.2 -- Serenic Navigator User Guide October 2005 3.2.4.2. Project Summary Report Sample report: Data or Field Field label Description company: Will display one of the five companies used in the accounting Location Upper-header left system (Missouri Botanical Garden, MBG Properties, Gateway Greening, Inc., Center for Plant Conservation, Inc. or Garden District Commission) Upper-header report: Will display the name of the report. left Upper-header left Rollup: Will display “Yes” or “No”. Some projects are organized within a “parent-child” relationship, with the “parent” project being the main project and/or the project under which receipts will be recognized. If the report is generated to consolidate or “rollup” all of the sub (or “child”) projects into the Parent project, then the Rollup field will display “Yes” File: User Guide 20051205 Page 69 of 185 Last printed 2/8/2008 9:14 AM Missouri Botanical Garden & Affiliated Companies -- Version 1.4.2 -- Serenic Navigator User Guide October 2005 Data or Field Field label Description Upper-header Last Closed The Last Closed Accounting Period reflects the month for which left Accounting Period: all accounting entries are completed. Typically, some manual Location accounting entries (such as posting of Indirect Expenses for a period) occur after the calendar month is over. It should also be noted that the dates for which the reports can be generated can be different than the most recently closed accounting period. As an example, a report can be generated to capture posted expenditures through the current date, even though the last closed accounting period may be the end of the previous month, several weeks prior. Upper-header No label Filter information: the information in this area of the report left indicates how the report was generated & how the data was filtered for the report. In the example, only project FOR03612 was selected and only for the dates of 5/1/04 through 5/31/04 Upper-header Unlabeled The date and time of the report printing are displayed Unlabeled The page number is listed Unlabeled The user id of the person generating the report is displayed Mid-header left Project No.: The project number will be displayed in this field Mid-header left Project Name: The project name will be displayed in this field Mid-header left Sponsor: right Upper-header right Upper-header right If the project is funded by an outside organization, then that Sponsors name will be displayed in this field Mid-header left Sponsor Project No: If the Sponsor has a number for the project, which may be (probably is) different than the one used by the company, then the Sponsor’s project number will be displayed in this field. Mid-header right Primary Investigator: Each project will have one individual listed as the Primary Investigator. While, there may be multiple Investigators associated to the project effort, only one Primary Investigator will be displayed on the accounting report Mid-header right Fund The accounting Fund under which the project’s expenditures are being tracked will be displayed Mid-header right Home Department: Many projects (all Fund 02U projects) will have a home department associated with the projects. All non-labor expenses will be associated to this department. Labor expenses will be associated to the home departments of the individuals charging the projects with time. Mid-header right No label Project status – The accounting controls project status level will be displayed. In the example above, at the time of the report, this project was “Open to All Posting”. Other status levels will prevent additional labor or expenses from being posted, or will File: User Guide 20051205 Page 70 of 185 Last printed 2/8/2008 9:14 AM Missouri Botanical Garden & Affiliated Companies -- Version 1.4.2 -- Serenic Navigator User Guide October 2005 Data or Field Field label Description Location reflect that the project is “Closed” or “Archived” Column header No label The category of expenses or receipts will be listed in the body of the report (e.g. Receipts, Direct Costs, etc.) Column header Natural Account No. The 4-digit natural account numbers for which there is activity to report will be displayed. Column header Name The natural account name for which there is activity to report will be displayed. Column header Actual for the Actual posted transactions for the defined period will be Period of: displayed in this column. The period will be defined in the report MM/DD/YY – generation process and will also be noted in the “filters” section MM/DD/YY of the header. Most often, the period will be a month, however the date filters could define a different period (e.g. 1/1/04 – 3/31/04) Column header Total Project Actual The actual transactions which were posted anytime between the as of: start of the project and the last date (most current) chosen in the MM/DD/YY filtering will be displayed. In the example, the transactions for the project “life to date” through 5/31/04 are displayed. Column header Encumbrances as An encumbrance is created by through a posted purchase order of: within the accounting system. Commitments with vendors for MM/DD/YY purchases are made at the time the order is placed. After the invoice is entered in the system by the Controller’s Office personnel then encumbrances become “actual costs”. The encumbrances as of the end of the filtered date range will be displayed in the data. Column header Total Actual & The project actual costs (life to date, through the end of the Encumbrances as filtered date range) and encumbrances (as of the end of the of: filtered date range) will be added together to represent all of the MM/DD/YY “spent and committed dollars” for the project. Report body Data for the selected date range will be reported. Receipts are displayed as positive numbers. Costs are displayed as negative (-) numbers. If a Transfers removes funds from the project it will be displayed as a negative (-) number. Report body – Project XXX Excess The columns of information will be summed, displaying the totals Revenue (Expense) balance of receipts with costs. Excess revenue will reflect as positive numbers. Excess expense will reflect as negative numbers Footer No label Notes created by the Project Administrator for use by the PI will be displayed in the footer of the report. File: User Guide 20051205 Page 71 of 185 Last printed 2/8/2008 9:14 AM Missouri Botanical Garden & Affiliated Companies -- Version 1.4.2 -- Serenic Navigator User Guide October 2005 3.2.4.3. Project Budget Variance Summary Report Sample report: Data or Field Field label Description company: Will display one of the five companies used in the accounting Location Upper-header left system (Missouri Botanical Garden, MBG Properties, Gateway Greening, Inc., Center for Plant Conservation, Inc. or Garden District Commission) Upper-header report: Will display the name of the report. left Upper-header Rollup: left Will display “Yes” or “No”. Some projects are organized within a “parent-child” relationship, with the “parent” project being the main project and/or the project under which receipts will be recognized. If the report is generated to consolidate or “rollup” all of the sub (or “child”) projects into the Parent project, then the Rollup field will display “Yes” Upper-header Last Closed The Last Closed Accounting Period reflects the month for which all accounting entries are completed. Typically, some manual File: User Guide 20051205 Page 72 of 185 Last printed 2/8/2008 9:14 AM Missouri Botanical Garden & Affiliated Companies -- Version 1.4.2 -- Serenic Navigator User Guide October 2005 Data or Field Field label Description Location left Accounting Period: accounting entries (such as posting of Indirect Expenses for a period) occur after the calendar month is over. It should also be noted that the dates for which the reports can be generated can be different than the most recently closed accounting period. As an example, a report can be generated to capture posted expenditures through the current date, even though the last closed accounting period may be the end of the previous month, several weeks prior. Upper-header No label Filter information: the information in this area of the report left indicates how the report was generated & how the data was filtered for the report. In the example, only project FOR03612 was selected and only for the dates of 5/1/04 through 5/31/04 Upper-header Unlabeled The date and time of the report printing are displayed Unlabeled The page number is listed Unlabeled The user id of the person generating the report is displayed Mid-header left Project No.: The project number will be displayed in this field Mid-header left Project Name: The project name will be displayed in this field Mid-header left Sponsor: right Upper-header right Upper-header right If the project is funded by an outside organization, then that Sponsors name will be displayed in this field Mid-header left Sponsor Project No: If the Sponsor has a number for the project, which may be (probably is) different than the one used by the company, then the Sponsor’s project number will be displayed in this field. Mid-header right Primary Investigator: Each project will have one individual listed as the Primary Investigator. While, there may be multiple Investigators associated to the project effort, only one Primary Investigator will be displayed on the accounting report Mid-header right Fund The accounting Fund under which the project’s expenditures are being tracked will be displayed Mid-header right Home Department: Many projects (all Fund 02U projects) will have a home department associated with the projects. All non-labor expenses will be associated to this department. Labor expenses will be associated to the home departments of the individuals charging the projects with time. Mid-header right No label Project status – The accounting controls project status level will be displayed. In the example above, at the time of the report, this project was “Open to All Posting”. Other status levels will prevent additional labor or expenses from being posted, or will reflect that the project is “Closed” or “Archived” Column header File: User Guide 20051205 No label The category of expenses or receipts will be listed in the body of Page 73 of 185 Last printed 2/8/2008 9:14 AM Missouri Botanical Garden & Affiliated Companies -- Version 1.4.2 -- Serenic Navigator User Guide October 2005 Data or Field Field label Description Location the report (e.g. Receipts, Direct Costs, etc.) Column header Natural Account No. The 4-digit natural account numbers for which there is activity to report will be displayed. Column header Name The natural account name for which there is activity to report will be displayed. Column header Actual for the Actual posted transactions for the defined period will be Period of: displayed in this column. The period will be defined in the report MM/DD/YY – generation process and will also be noted in the “filters” section MM/DD/YY of the header. Most often, the period will be a month, however the date filters could define a different period (e.g. 1/1/04 – 3/31/04) Column header Total Project Actual The actual transactions which were posted anytime between the as of: start of the project and the last date (most current) chosen in the MM/DD/YY filtering will be displayed. In the example, the transactions for the project “life to date” through 5/31/04 are displayed. Column header Encumbrances as An encumbrance is created by through a posted purchase order of: within the accounting system. Commitments with vendors for MM/DD/YY purchases are made at the time the order is placed. After the invoice is entered in the system by the Controller’s Office personnel then encumbrances become “actual costs”. The encumbrances as of the end of the filtered date range will be displayed in the data. Column header Column header Total Actual & The project actual costs (life to date, through the end of the Encumbrances as filtered date range) and encumbrances (as of the end of the of: filtered date range) will be added together to represent all of the MM/DD/YY “spent and committed dollars” for the project. Budget as If the Project Administrator has entered Project budget of information into the accounting system, then the budget values MM/DD/YY will be displayed. Typically the project budget dollars will be entered as having 100% of budget dollars available on the first day of the project. If the budget dollars are prorated through the life of the project, then this column’s data will reflect only that portion of the budget that is available as of the chosen date. Column header Variance Favorable and unfavorable variances will be displayed. These Fav / -Unfav will be calculated values generated by comparing the actual + as of encumbrances to the budget. MM/DD/YY Report body Data for the selected date range will be reported. Receipts are displayed as positive numbers. Costs are displayed as negative (-) numbers. If a Transfers removes funds from the project it will be displayed as a negative (-) number. Report body – Project XXX Excess The columns of information will be summed, displaying the totals Revenue (Expense) balance of receipts with costs. Excess revenue will reflect as File: User Guide 20051205 Page 74 of 185 Last printed 2/8/2008 9:14 AM Missouri Botanical Garden & Affiliated Companies -- Version 1.4.2 -- Serenic Navigator User Guide October 2005 Data or Field Field label Description Location positive numbers. Excess expense will reflect as negative numbers Footer No label Notes created by the Project Administrator for use by the PI will be displayed in the footer of the report. File: User Guide 20051205 Page 75 of 185 Last printed 2/8/2008 9:14 AM Missouri Botanical Garden & Affiliated Companies -- Version 1.4.2 -- Serenic Navigator User Guide October 2005 3.2.4.4. Project Detail Report Sample report: Data or Field Field label Description company: Will display one of the five companies used in the accounting Location Upper-header left system (Missouri Botanical Garden, MBG Properties, Gateway Greening, Inc., Center for Plant Conservation, Inc. or Garden District Commission) Upper-header report: Will display the name of the report. left Upper-header left Rollup: Will display “Yes” or “No”. Some projects are organized within a “parent-child” relationship, with the “parent” project being the main project and/or the project under which receipts will be recognized. If the report is generated to consolidate or “rollup” all of the sub (or “child”) projects into the Parent project, then the Rollup field will display “Yes” File: User Guide 20051205 Page 76 of 185 Last printed 2/8/2008 9:14 AM Missouri Botanical Garden & Affiliated Companies -- Version 1.4.2 -- Serenic Navigator User Guide October 2005 Data or Field Field label Description Upper-header Last Closed The Last Closed Accounting Period reflects the month for which left Accounting Period: all accounting entries are completed. Typically, some manual Location accounting entries (such as posting of Indirect Expenses for a period) occur after the calendar month is over. It should also be noted that the dates for which the reports can be generated can be different than the most recently closed accounting period. As an example, a report can be generated to capture posted expenditures through the current date, even though the last closed accounting period may be the end of the previous month, several weeks prior. Upper-header No label Filter information: the information in this area of the report left indicates how the report was generated & how the data was filtered for the report. In the example, only project FOR03612 was selected and only for the dates of 5/1/04 through 5/31/04 Upper-header Unlabeled The date and time of the report printing are displayed Unlabeled The page number is listed Unlabeled The user id of the person generating the report is displayed Mid-header left Project No.: The project number will be displayed in this field Mid-header left Project Name: The project name will be displayed in this field Mid-header left Sponsor: right Upper-header right Upper-header right If the project is funded by an outside organization, then that Sponsors name will be displayed in this field Mid-header left Sponsor Project No: If the Sponsor has a number for the project, which may be (probably is) different than the one used by the company, then the Sponsor’s project number will be displayed in this field. Mid-header right Primary Investigator: Each project will have one individual listed as the Primary Investigator. While, there may be multiple Investigators associated to the project effort, only one Primary Investigator will be displayed on the accounting report Mid-header right Fund The accounting Fund under which the project’s expenditures are being tracked will be displayed Mid-header right Home Department: Many projects (all Fund 02U projects) will have a home department associated with the projects. All non-labor expenses will be associated to this department. Labor expenses will be associated to the home departments of the individuals charging the projects with time. Mid-header right No label Project status – The accounting controls project status level will be displayed. In the example above, at the time of the report, this project was “Open to All Posting”. Other status levels will prevent additional labor or expenses from being posted, or will File: User Guide 20051205 Page 77 of 185 Last printed 2/8/2008 9:14 AM Missouri Botanical Garden & Affiliated Companies -- Version 1.4.2 -- Serenic Navigator User Guide October 2005 Data or Field Field label Description Location reflect that the project is “Closed” or “Archived” Column header No label The category of expenses or receipts will be listed in the body of the report (e.g. Receipts, Direct Costs, etc.) Column header Natural Account No. The 4-digit natural account numbers for which there is activity to report will be displayed. Column header Document No. Display the accounting system’s document number for any detailed transaction utilizing a document number. This is provided to assist in traceability within the accounting system Column header Fnd-Prjct-Acct-Dept Displays the GL account combination to which the detailed transaction was charged. The GL account combination is presented in Fund – Project – Natural Account – Department Number sequence. Column header Posting Date Displays the posting date for the detailed transaction. Column header Description Displays the posting description, along with the vendor name (if appropriate) Column header Actual for the Actual posted transactions for the defined period will be Period of: displayed in this column. The period will be defined in the report MM/DD/YY – generation process and will also be noted in the “filters” section MM/DD/YY of the header. Most often, the period will be a month, however the date filters could define a different period (e.g. 1/1/04 – 3/31/04) Column header Encumbrances as An encumbrance is created by through a posted purchase order of: within the accounting system. Commitments with vendors for MM/DD/YY purchases are made at the time the order is placed. After the invoice is entered in the system by the Controller’s Office personnel then encumbrances become “actual costs”. The encumbrances as of the end of the filtered date range will be displayed in the data. Column header Total Actual & The project actual costs (life to date, through the end of the Encumbrances as filtered date range) and encumbrances (as of the end of the of: filtered date range) will be added together to represent all of the MM/DD/YY “spent and committed dollars” for the project. Report body Data for the selected date range will be reported. Receipts are displayed as positive numbers. Costs are displayed as negative (-) numbers. If a Transfers removes funds from the project it will be displayed as a negative (-) number. The data is organized and subtotaled by Natural Account Number. The data is further subtotaled by category of receipts or expenses. Report body – Project XXX Excess The columns of information will be summed, displaying the totals Revenue (Expense) balance of receipts with costs. Excess revenue will reflect as positive numbers. Excess expense will reflect as negative numbers File: User Guide 20051205 Page 78 of 185 Last printed 2/8/2008 9:14 AM Missouri Botanical Garden & Affiliated Companies -- Version 1.4.2 -- Serenic Navigator User Guide October 2005 Data or Field Field label Description Location Footer No label Notes created by the Project Administrator for use by the PI will be displayed in the footer of the report. File: User Guide 20051205 Page 79 of 185 Last printed 2/8/2008 9:14 AM Missouri Botanical Garden & Affiliated Companies -- Version 1.4.2 -- Serenic Navigator User Guide October 2005 3.2.4.5. Project Budget Variance Detail Report Sample report: Data or Field Field label Description company: Will display one of the five companies used in the accounting Location Upper-header left system (Missouri Botanical Garden, MBG Properties, Gateway Greening, Inc., Center for Plant Conservation, Inc. or Garden District Commission) Upper-header report: Will display the name of the report. left Upper-header left Rollup: Will display “Yes” or “No”. Some projects are organized within a “parent-child” relationship, with the “parent” project being the main project and/or the project under which receipts will be File: User Guide 20051205 Page 80 of 185 Last printed 2/8/2008 9:14 AM Missouri Botanical Garden & Affiliated Companies -- Version 1.4.2 -- Serenic Navigator User Guide October 2005 Data or Field Field label Description Location recognized. If the report is generated to consolidate or “rollup” all of the sub (or “child”) projects into the Parent project, then the Rollup field will display “Yes” Upper-header Last Closed The Last Closed Accounting Period reflects the month for which left Accounting Period: all accounting entries are completed. Typically, some manual accounting entries (such as posting of Indirect Expenses for a period) occur after the calendar month is over. It should also be noted that the dates for which the reports can be generated can be different than the most recently closed accounting period. As an example, a report can be generated to capture posted expenditures through the current date, even though the last closed accounting period may be the end of the previous month, several weeks prior. Upper-header No label Filter information: the information in this area of the report left indicates how the report was generated & how the data was filtered for the report. In the example, only project FOR03612 was selected and only for the dates of 5/1/04 through 5/31/04 Upper-header Unlabeled The date and time of the report printing are displayed Unlabeled The page number is listed Unlabeled The user id of the person generating the report is displayed Mid-header left Project No.: The project number will be displayed in this field Mid-header left Project Name: The project name will be displayed in this field Mid-header left Sponsor: right Upper-header right Upper-header right If the project is funded by an outside organization, then that Sponsors name will be displayed in this field Mid-header left Sponsor Project No: If the Sponsor has a number for the project, which may be (probably is) different than the one used by the company, then the Sponsor’s project number will be displayed in this field. Mid-header right Primary Investigator: Each project will have one individual listed as the Primary Investigator. While, there may be multiple Investigators associated to the project effort, only one Primary Investigator will be displayed on the accounting report Mid-header right Fund The accounting Fund under which the project’s expenditures are being tracked will be displayed Mid-header right Home Department: Many projects (all Fund 02U projects) will have a home department associated with the projects. All non-labor expenses will be associated to this department. Labor expenses will be associated to the home departments of the individuals charging the projects with time. Mid-header right File: User Guide 20051205 No label Project status – The accounting controls project status level will Page 81 of 185 Last printed 2/8/2008 9:14 AM Missouri Botanical Garden & Affiliated Companies -- Version 1.4.2 -- Serenic Navigator User Guide October 2005 Data or Field Field label Description Location be displayed. In the example above, at the time of the report, this project was “Open to All Posting”. Other status levels will prevent additional labor or expenses from being posted, or will reflect that the project is “Closed” or “Archived” Column header No label The category of expenses or receipts will be listed in the body of the report (e.g. Receipts, Direct Costs, etc.) Column header Natural Account No. The 4-digit natural account numbers for which there is activity to report will be displayed. Column header Document No. Display the accounting system’s document number for any detailed transaction utilizing a document number. This is provided to assist in traceability within the accounting system Column header Fnd-Prjct-Acct-Dept Displays the GL account combination to which the detailed transaction was charged. The GL account combination is presented in Fund – Project – Natural Account – Department Number sequence. Column header Posting Date Displays the posting date for the detailed transaction. Column header Description Displays the posting description, along with the vendor name (if appropriate) Column header Actual for the Actual posted transactions for the defined period will be Period of: displayed in this column. The period will be defined in the report MM/DD/YY – generation process and will also be noted in the “filters” section MM/DD/YY of the header. Most often, the period will be a month, however the date filters could define a different period (e.g. 1/1/04 – 3/31/04) Column header Encumbrances as An encumbrance is created by through a posted purchase order of: within the accounting system. Commitments with vendors for MM/DD/YY purchases are made at the time the order is placed. After the invoice is entered in the system by the Controller’s Office personnel then encumbrances become “actual costs”. The encumbrances as of the end of the filtered date range will be displayed in the data. Column header Column header Total Actual & The project actual costs (life to date, through the end of the Encumbrances as filtered date range) and encumbrances (as of the end of the of: filtered date range) will be added together to represent all of the MM/DD/YY “spent and committed dollars” for the project. Budget as If the Project Administrator has entered Project budget of information into the accounting system, then the budget values MM/DD/YY will be displayed. Typically the project budget dollars will be entered as having 100% of budget dollars available on the first day of the project. If the budget dollars are prorated through the life of the project, then this column’s data will reflect only that portion of the budget that is available as of the chosen date. File: User Guide 20051205 Page 82 of 185 Last printed 2/8/2008 9:14 AM Missouri Botanical Garden & Affiliated Companies -- Version 1.4.2 -- Serenic Navigator User Guide October 2005 Data or Field Field label Description Variance Favorable and unfavorable variances will be displayed. These Fav / -Unfav will be calculated values generated by comparing the actual + as of encumbrances to the budget. Location Column header MM/DD/YY Report body Data for the selected date range will be reported. Receipts are displayed as positive numbers. Costs are displayed as negative (-) numbers. If a Transfers removes funds from the project it will be displayed as a negative (-) number. The data is organized and subtotaled by Natural Account Number. The data is further subtotaled by category of receipts or expenses. Report body – Project XXX Excess The columns of information will be summed, displaying the totals Revenue (Expense) balance of receipts with costs. Excess revenue will reflect as positive numbers. Excess expense will reflect as negative numbers Footer No label Notes created by the Project Administrator for use by the PI will be displayed in the footer of the report. File: User Guide 20051205 Page 83 of 185 Last printed 2/8/2008 9:14 AM Missouri Botanical Garden & Affiliated Companies -- Version 1.4.2 -- Serenic Navigator User Guide October 2005 3.2.4.6. Project Detail Report with Payroll Sample report: Data or Field Field label Description company: Will display one of the five companies used in the accounting Location Upper-header left system (Missouri Botanical Garden, MBG Properties, Gateway Greening, Inc., Center for Plant Conservation, Inc. or Garden District Commission) Upper-header report: Will display the name of the report. left Upper-header left Rollup: Will display “Yes” or “No”. Some projects are organized within a “parent-child” relationship, with the “parent” project being the main project and/or the project under which receipts will be recognized. If the report is generated to consolidate or “rollup” all of the sub (or “child”) projects into the Parent project, then the File: User Guide 20051205 Page 84 of 185 Last printed 2/8/2008 9:14 AM Missouri Botanical Garden & Affiliated Companies -- Version 1.4.2 -- Serenic Navigator User Guide October 2005 Data or Field Field label Description Location Rollup field will display “Yes” Upper-header Last Closed The Last Closed Accounting Period reflects the month for which left Accounting Period: all accounting entries are completed. Typically, some manual accounting entries (such as posting of Indirect Expenses for a period) occur after the calendar month is over. It should also be noted that the dates for which the reports can be generated can be different than the most recently closed accounting period. As an example, a report can be generated to capture posted expenditures through the current date, even though the last closed accounting period may be the end of the previous month, several weeks prior. Upper-header No label Filter information: the information in this area of the report left indicates how the report was generated & how the data was filtered for the report. In the example, only project FOR03612 was selected and only for the dates of 5/1/04 through 5/31/04 Upper-header Unlabeled The date and time of the report printing are displayed Unlabeled The page number is listed Unlabeled The user id of the person generating the report is displayed Mid-header left Project No.: The project number will be displayed in this field Mid-header left Project Name: The project name will be displayed in this field Mid-header left Sponsor: right Upper-header right Upper-header right If the project is funded by an outside organization, then that Sponsors name will be displayed in this field Mid-header left Sponsor Project No: If the Sponsor has a number for the project, which may be (probably is) different than the one used by the company, then the Sponsor’s project number will be displayed in this field. Mid-header right Primary Investigator: Each project will have one individual listed as the Primary Investigator. While, there may be multiple Investigators associated to the project effort, only one Primary Investigator will be displayed on the accounting report Mid-header right Fund The accounting Fund under which the project’s expenditures are being tracked will be displayed Mid-header right Home Department: Many projects (all Fund 02U projects) will have a home department associated with the projects. All non-labor expenses will be associated to this department. Labor expenses will be associated to the home departments of the individuals charging the projects with time. Mid-header right No label Project status – The accounting controls project status level will be displayed. In the example above, at the time of the report, this project was “Open to All Posting”. Other status levels will File: User Guide 20051205 Page 85 of 185 Last printed 2/8/2008 9:14 AM Missouri Botanical Garden & Affiliated Companies -- Version 1.4.2 -- Serenic Navigator User Guide October 2005 Data or Field Field label Description Location prevent additional labor or expenses from being posted, or will reflect that the project is “Closed” or “Archived” Column header No label The category of expenses or receipts will be listed in the body of the report (e.g. Receipts, Direct Costs, etc.) Column header Natural Account No. The 4-digit natural account numbers for which there is activity to report will be displayed. Column header Document No. Display the accounting system’s document number for any detailed transaction utilizing a document number. This is provided to assist in traceability within the accounting system Column header Fnd-Prjct-Acct-Dept Displays the GL account combination to which the detailed transaction was charged. The GL account combination is presented in Fund – Project – Natural Account – Department Number sequence. Column header Posting Date Displays the posting date for the detailed transaction. Column header Description Displays the posting description, along with the vendor name (if appropriate) Column header Payroll Clock No. Displays the payroll clock number of the individual for which a detailed payroll transaction is displayed Column header Employee Name Displays the employee name of the individual for which a detailed payroll transaction is displayed Column header No. of Hours Displays the number of employee hours charged to the project for any detailed payroll transaction Column header Actual for the Actual posted transactions for the defined period will be Period of: displayed in this column. The period will be defined in the report MM/DD/YY – generation process and will also be noted in the “filters” section MM/DD/YY of the header. Most often, the period will be a month, however the date filters could define a different period (e.g. 1/1/04 – 3/31/04) Column header Encumbrances as An encumbrance is created by through a posted purchase order of: within the accounting system. Commitments with vendors for MM/DD/YY purchases are made at the time the order is placed. After the invoice is entered in the system by the Controller’s Office personnel then encumbrances become “actual costs”. The encumbrances as of the end of the filtered date range will be displayed in the data. Column header Report body Total Actual & The project actual costs (life to date, through the end of the Encumbrances as filtered date range) and encumbrances (as of the end of the of: filtered date range) will be added together to represent all of the MM/DD/YY “spent and committed dollars” for the project. Data for the selected date range will be reported. Receipts are displayed as positive numbers. Costs are displayed as negative (-) numbers. If a Transfers removes funds from the project it will be displayed as a negative (-) number. File: User Guide 20051205 Page 86 of 185 Last printed 2/8/2008 9:14 AM Missouri Botanical Garden & Affiliated Companies -- Version 1.4.2 -- Serenic Navigator User Guide October 2005 Data or Field Field label Description Location The data is organized and subtotaled by Natural Account Number. The data is further subtotaled by category of receipts or expenses. Report body – Project XXX Excess The columns of information will be summed, displaying the totals Revenue (Expense) balance of receipts with costs. Excess revenue will reflect as positive numbers. Excess expense will reflect as negative numbers Footer No label Notes created by the Project Administrator for use by the PI will be displayed in the footer of the report. File: User Guide 20051205 Page 87 of 185 Last printed 2/8/2008 9:14 AM Missouri Botanical Garden & Affiliated Companies -- Version 1.4.2 -- Serenic Navigator User Guide October 2005 3.2.4.7. Project Budget Variance Detail with Payroll Sample report: Data or Field Field label Description company: Will display one of the five companies used in the accounting Location Upper-header left system (Missouri Botanical Garden, MBG Properties, Gateway Greening, Inc., Center for Plant Conservation, Inc. or Garden District Commission) Upper-header report: Will display the name of the report. left Upper-header left Rollup: Will display “Yes” or “No”. Some projects are organized within a “parent-child” relationship, with the “parent” project being the main project and/or the project under which receipts will be File: User Guide 20051205 Page 88 of 185 Last printed 2/8/2008 9:14 AM Missouri Botanical Garden & Affiliated Companies -- Version 1.4.2 -- Serenic Navigator User Guide October 2005 Data or Field Field label Description Location recognized. If the report is generated to consolidate or “rollup” all of the sub (or “child”) projects into the Parent project, then the Rollup field will display “Yes” Upper-header Last Closed The Last Closed Accounting Period reflects the month for which left Accounting Period: all accounting entries are completed. Typically, some manual accounting entries (such as posting of Indirect Expenses for a period) occur after the calendar month is over. It should also be noted that the dates for which the reports can be generated can be different than the most recently closed accounting period. As an example, a report can be generated to capture posted expenditures through the current date, even though the last closed accounting period may be the end of the previous month, several weeks prior. Upper-header No label Filter information: the information in this area of the report left indicates how the report was generated & how the data was filtered for the report. In the example, only project FOR03612 was selected and only for the dates of 5/1/04 through 5/31/04 Upper-header Unlabeled The date and time of the report printing are displayed Unlabeled The page number is listed Unlabeled The user id of the person generating the report is displayed Mid-header left Project No.: The project number will be displayed in this field Mid-header left Project Name: The project name will be displayed in this field Mid-header left Sponsor: right Upper-header right Upper-header right If the project is funded by an outside organization, then that Sponsors name will be displayed in this field Mid-header left Sponsor Project No: If the Sponsor has a number for the project, which may be (probably is) different than the one used by the company, then the Sponsor’s project number will be displayed in this field. Mid-header right Primary Investigator: Each project will have one individual listed as the Primary Investigator. While, there may be multiple Investigators associated to the project effort, only one Primary Investigator will be displayed on the accounting report Mid-header right Fund The accounting Fund under which the project’s expenditures are being tracked will be displayed Mid-header right Home Department: Many projects (all Fund 02U projects) will have a home department associated with the projects. All non-labor expenses will be associated to this department. Labor expenses will be associated to the home departments of the individuals charging the projects with time. Mid-header right File: User Guide 20051205 No label Project status – The accounting controls project status level will Page 89 of 185 Last printed 2/8/2008 9:14 AM Missouri Botanical Garden & Affiliated Companies -- Version 1.4.2 -- Serenic Navigator User Guide October 2005 Data or Field Field label Description Location be displayed. In the example above, at the time of the report, this project was “Open to All Posting”. Other status levels will prevent additional labor or expenses from being posted, or will reflect that the project is “Closed” or “Archived” Column header No label The category of expenses or receipts will be listed in the body of the report (e.g. Receipts, Direct Costs, etc.) Column header Natural Account No. The 4-digit natural account numbers for which there is activity to report will be displayed. Column header Document No. Display the accounting system’s document number for any detailed transaction utilizing a document number. This is provided to assist in traceability within the accounting system Column header Fnd-Prjct-Acct-Dept Displays the GL account combination to which the detailed transaction was charged. The GL account combination is presented in Fund – Project – Natural Account – Department Number sequence. Column header Posting Date Displays the posting date for the detailed transaction. Column header Description Displays the posting description, along with the vendor name (if appropriate) Column header Payroll Clock No. Displays the payroll clock number of the individual for which a detailed payroll transaction is displayed Column header Employee Name Displays the employee name of the individual for which a detailed payroll transaction is displayed Column header No. of Hours Displays the number of employee hours charged to the project for any detailed payroll transaction Column header Actual for the Actual posted transactions for the defined period will be Period of: displayed in this column. The period will be defined in the report MM/DD/YY – generation process and will also be noted in the “filters” section MM/DD/YY of the header. Most often, the period will be a month, however the date filters could define a different period (e.g. 1/1/04 – 3/31/04) Column header Encumbrances as An encumbrance is created by through a posted purchase order of: within the accounting system. Commitments with vendors for MM/DD/YY purchases are made at the time the order is placed. After the invoice is entered in the system by the Controller’s Office personnel then encumbrances become “actual costs”. The encumbrances as of the end of the filtered date range will be displayed in the data. Column header Column header File: User Guide 20051205 Total Actual & The project actual costs (life to date, through the end of the Encumbrances as filtered date range) and encumbrances (as of the end of the of: filtered date range) will be added together to represent all of the MM/DD/YY “spent and committed dollars” for the project. Budget as If the Project Administrator has entered Project budget of information into the accounting system, then the budget values Page 90 of 185 Last printed 2/8/2008 9:14 AM Missouri Botanical Garden & Affiliated Companies -- Version 1.4.2 -- Serenic Navigator User Guide October 2005 Data or Field Field label Description MM/DD/YY will be displayed. Location Typically the project budget dollars will be entered as having 100% of budget dollars available on the first day of the project. If the budget dollars are prorated through the life of the project, then this column’s data will reflect only that portion of the budget that is available as of the chosen date. Column header Variance Favorable and unfavorable variances will be displayed. These Fav / -Unfav will be calculated values generated by comparing the actual + as of encumbrances to the budget. MM/DD/YY Report body Data for the selected date range will be reported. Receipts are displayed as positive numbers. Costs are displayed as negative (-) numbers. If a Transfers removes funds from the project it will be displayed as a negative (-) number. The data is organized and subtotaled by Natural Account Number. The data is further subtotaled by category of receipts or expenses. Report body – Project XXX Excess The columns of information will be summed, displaying the totals Revenue (Expense) balance of receipts with costs. Excess revenue will reflect as positive numbers. Excess expense will reflect as negative numbers Footer No label Notes created by the Project Administrator for use by the PI will be displayed in the footer of the report. File: User Guide 20051205 Page 91 of 185 Last printed 2/8/2008 9:14 AM Missouri Botanical Garden & Affiliated Companies -- Version 1.4.2 -- Serenic Navigator User Guide October 2005 4. Purchases & Payables The Serenic Navigator Purchase & Payables functionality has been customized to meet the Garden’s requirements. In a very general sense, the overall business process can be depicted as shown below: Purchase to Pay Business Process Vendor Management Requisition Purchase Receive Accounts Payable Payment Item Management The Garden, and its affiliated companies have elected to deploy the Purchase & Payables (or Purchase to Pay – aka: PTP) functionality in a way which best aligns with the intended business process. The diagram only serves to illustrate a generic approach to PTP functionality. The PTP functionality developed within the Serenic Navigator software for the Garden can be described as: Vendor Management – The Vendor Management capability is based on two significant components: The Vendor Master: The vendor master information will be managed by the Controller’s Office personnel. The Vendor Master is the long listing of vendors available for use within the purchasing and accounts payable functionality of the software. Think of it as “the phone book” for the accounting software. The Vendor Master contains thousands of vendor cards & will continue to grow, over time, through the use of the software. The Vendor Views: The vendor views are subsets of the Vendor Master. Each Purchasing user is associated to a Division of the organization. Each Division is able to establish its own view of the vendor master for use in the purchasing process. As an example, the vendor views will allow for users in Horticulture to not have to see & sort through all the vendors that have nothing to do with their aspect of the business. Vendor views are controlled by the users, but are shared by all users within a Division. Think of the Vendor Views as your personal Rolodex or address book, while the Vendor Master is the phone book for the company. The overall approach to Vendor Management will be described later in this document. Item Management – Currently the Garden is not employing the item management capability of the software. This is appropriate given its intended use. If, in the future, the Garden desired to track inventories of specific items, then this capability could be employed. File: User Guide 20051205 Page 92 of 185 Last printed 2/8/2008 9:14 AM Missouri Botanical Garden & Affiliated Companies -- Version 1.4.2 -- Serenic Navigator User Guide October 2005 Requisitions – Currently the Garden has chosen to not employ a formal requisitioning process enabled through the software. Some user groups may have a practice of email requisitions or handwritten notes as requisitions. These approaches, enabled & supported outside of the accounting software, are deemed to be sufficient currently. While the accounting software can support a requisition process, the Garden has chosen to not “turn it on” at this time, but rather to rely on its traditional & satisfactory approaches to requisitioning. Purchasing – At the heart of the process, and reflective of a major change in Garden operations, is the new Purchasing capability. The initial approaches to Purchasing are described later in this document and will be prototyped through the MBG IT organization (Division 839, Department 039). It is important to note that the purchasing functionality enables the encumbrance accounting desired by the Garden. With encumbrance accounting in place, the Garden will have a more timely view of their financial commitments. Receiving – The Garden’s approach to enable receiving in the software reflects some needed flexibility to accommodate Purchase Orders (PO’s) which require the items to be received, as well as PO’s for which there is not a physical receipt performed. Additionally, the Garden has elected to continue the process of receiving invoices in the department which bought the goods, so a procedure to recognize the receipt of a vendor invoice has been included in the software’s functionality. Accounts Payable – The Garden will continue to manage a centralized accounts payable process, now supported through the improved tools provided by the software. Payment Processing – The Garden will now be able to complete vendor payments based on payment terms established with the vendor. The software will generate checks based on when invoices are due to be paid, allowing invoices to age within the accounting software. This automates a difficult task which had been managed outside of the accounting software in the past. 4.1. Setup We should begin our discussion of the PTP functionality by first acknowledging some significant setup related issues. These topics will be encountered routinely by a System Administrator who is responsible to insure that the PTP functionality is working properly and supporting the needs of the Garden and affiliated companies. These setup needs are in addition to the initial setup and configuration of the software which was performed by CASI as part of the implementation effort. 4.1.1. User Setup As users are established in the system (see Section 1.2), each user is associated to a Division and, if appropriate, assigned a Purchasing Role. For users with access to this portion of the application, the User Setup card can be found by following the navigation path of: General Ledger Æ Setup Æ User Setup Æ Security tab. See screenshot below: File: User Guide 20051205 Page 93 of 185 Last printed 2/8/2008 9:14 AM Missouri Botanical Garden & Affiliated Companies -- Version 1.4.2 -- Serenic Navigator User Guide October 2005 Note that the User Setup Card contains multiple tabs. On the GENERAL tab, the user’s ID Name & Title are entered. If they manage other employees, they are notes as a manager by inserting the check in the checkbox for that field. The User Group Code is established to control their view of the data in the database. The User Level Code is established only as a characteristic of the user. The User Level Code, at this time, does not control any functionality within the software. The User’s Reporting relationship is noted, along with their default “Deliver-to” address. File: User Guide 20051205 Page 94 of 185 Last printed 2/8/2008 9:14 AM Missouri Botanical Garden & Affiliated Companies -- Version 1.4.2 -- Serenic Navigator User Guide October 2005 The SECURTITY tab, shown above, sets the Main Menu ID. This feature controls the appearance of the menus for the user. Users with a wide set of responsibilities in the software will see a longer menu structure than those users with a more narrow set of responsibilities. CASI can create new menu IDs if needed to insure that the items available on the users’ menus align with their responsibilities. Additionally, on this portion of the User Setup card, the user can be provided with access to all vendors (if that box is checked). Providing access to all vendors disables the use of Vendor Views. Normally, only personnel in the Controller’s Office would want access to all vendors. Also on this portion of the User Setup card, the user is assigned a Purchasing Document Filter Level. The choices include: • Buyer – limits the user’s view of Purchasing documents to those which they have created. This limitation provides the user benefit of narrowing down the number of documents to be reviewed if they are searching for a specific document. It also limits buyers from viewing other users purchasing activities. • Manager – limits the user to view Purchasing documents within their Division, which could include the work of multiple buyers. • Accounting – enables the user to view all Purchasing documents without regard to user origination and Division association. This broad view is required for users working across Divisions of the Garden File: User Guide 20051205 Page 95 of 185 Last printed 2/8/2008 9:14 AM Missouri Botanical Garden & Affiliated Companies -- Version 1.4.2 -- Serenic Navigator User Guide October 2005 4.1.2. Vendor View Setup In order to limit the number of vendors that need to be reviewed in selecting one for inclusion on a PO, a “Vendor View” may be established. The view only serves to as a user aid for the buyers as they look-up vendors. All vendors in the vendor master are available for use by any buyer at any time. The Vendor View helps narrow the buyer’s focus to those vendors used by the buyer’s division. As an example, the current vendor master contains over 6,000 vendors; where as a specific division may only routinely use 200 of those vendors. Vendor views are created to prevent the inconvenience of searching / scrolling through 6,000+ vendors to find the one to be used on a PO. NOTE: If no vendors are listed in a vendor view for a division, then all Buyers and Managers will have access to ALL vendors in the Vendor Master, regardless of how the “Access to all Vendors” checkbox is set on the user card. If however, the Vendor View is populated by only one vendor for the Buyer or Manager’s division and they do not have authority to view all vendors, then they will only see one vendor in their lookup lists To “activate” the Vendor View functionality for a Division, at least one vendor must be included in the Vendor View. Vendor Views are “self-administered” by the users of the system. Vendor Views are unique to a Division and shared across users within that Division. Users can add or delete vendors from their divisions vendor view. To change the content of the divisions vendor view, navigate through Purchase & Payables Æ Setup Æ Vendor Views by Division, as shown below: File: User Guide 20051205 Page 96 of 185 Last printed 2/8/2008 9:14 AM Missouri Botanical Garden & Affiliated Companies -- Version 1.4.2 -- Serenic Navigator User Guide October 2005 You will find one Division’s listing presented (it may be blank & contain neither vendor codes nor names). A sample of Division 839’s is shown below: File: User Guide 20051205 Page 97 of 185 Last printed 2/8/2008 9:14 AM Missouri Botanical Garden & Affiliated Companies -- Version 1.4.2 -- Serenic Navigator User Guide October 2005 To navigate to another Division, click anywhere in the window and hit the F5 key. This will return a listing of Division numbers and names, as shown below: File: User Guide 20051205 Page 98 of 185 Last printed 2/8/2008 9:14 AM Missouri Botanical Garden & Affiliated Companies -- Version 1.4.2 -- Serenic Navigator User Guide October 2005 You can select a Division code/name by clicking in the left gray box associated with the selection. This click should highlight the row, as shown below: File: User Guide 20051205 Page 99 of 185 Last printed 2/8/2008 9:14 AM Missouri Botanical Garden & Affiliated Companies -- Version 1.4.2 -- Serenic Navigator User Guide October 2005 After the correct row is highlighted, click the “OK” button to see the Vendor View listing for the selected Division As you can see in the screen shot above, the Vendor View listing for the Human Resource Management Division is blank. No Vendors have been added to the view, at this time. As a result, the Buyers and Managers of the Human Resource Management Division would have to view 100% of the vendor master in order to select a vendor from a list. File: User Guide 20051205 Page 100 of 185 Last printed 2/8/2008 9:14 AM Missouri Botanical Garden & Affiliated Companies -- Version 1.4.2 -- Serenic Navigator User Guide October 2005 To add a vendor to a division view, click on the lookup arrow in the first available row in the Vendor No. column and the Vendor List will be presented. The user can scroll or navigate to the Vendor that they would like to add to the list and hit Enter to add them to the list. Alternatively, if the user knows the Vendor No. they can simply type it in the Vendor No. field on the first empty row of the Vendor View list File: User Guide 20051205 Page 101 of 185 Last printed 2/8/2008 9:14 AM Missouri Botanical Garden & Affiliated Companies -- Version 1.4.2 -- Serenic Navigator User Guide October 2005 In the screen shot below, the user has navigated to the Ceridian Employer Services vendor (CEREMP) and has highlighted the vendor in the Vendor list. Simply clicking “OK” at this point will add the vendor to the Vendor View. File: User Guide 20051205 Page 102 of 185 Last printed 2/8/2008 9:14 AM Missouri Botanical Garden & Affiliated Companies -- Version 1.4.2 -- Serenic Navigator User Guide October 2005 After clicking “OK”, the vendor is added to the vendor view: To delete a vendor from a vendor view, simply highlight that vendor and click the “Delete” key or click the “F4” key on your keyboard. 4.1.3. User Group Code Business Rule Setup The User Group Codes and associated business rules are used to control access to data in the GL. The procedures for establishing the User Groups and for setting up the Business Rules have been detailed in sections 1.2.4.1 and 1.2.4.2 of this user guide. 4.1.4. Workflow Setup Workflow definitions are required in order to enable the Approval Processing associated with the Purchasing & Payables functionality. A workflow setup is a set of instructions for the application to use, in processing transactions through the Approval Processing. There are many workflow setups required to provide sufficient “granularity” for an organization the size of the Garden. The Approval Business rules serve to define which transactions are used with which workflow routings. We’ll look at two examples of a workflow routing. To view the workflows, the Super user should navigate from the General Ledger Menu Æ Setup Æ Workflow Management Æ Routing Codes, to get to a workflow card. To see all of the workflows listed, the Super File: User Guide 20051205 Page 103 of 185 Last printed 2/8/2008 9:14 AM Missouri Botanical Garden & Affiliated Companies -- Version 1.4.2 -- Serenic Navigator User Guide October 2005 user should click the F5 key to generate a list. The list will look like the screenshot provided below: Currently, every Division of the Garden has 4 unique workflows. One is for non-project transactions less than $10,000. Another is for non-project transactions equal to or greater than $10,000. The third is for project transactions less than $10,000 and the fourth is for project transactions equal to or greater than $10,000. A workflow must be defined for each unique approval routing. Workflow 839-NPM is illustrated in the screenshot below: File: User Guide 20051205 Page 104 of 185 Last printed 2/8/2008 9:14 AM Missouri Botanical Garden & Affiliated Companies -- Version 1.4.2 -- Serenic Navigator User Guide October 2005 This workflow simply specifies that CMILLER will be the first and only person in this workflow and that their approval of the transaction is required in order to satisfy the approval processing for any transactions managed by this workflow. This is as simple as it gets! Workflow 839-PE is illustrated in the screenshot below: File: User Guide 20051205 Page 105 of 185 Last printed 2/8/2008 9:14 AM Missouri Botanical Garden & Affiliated Companies -- Version 1.4.2 -- Serenic Navigator User Guide October 2005 This workflow indicates that there are 3 users involved in a defined sequence. Initially, CMILLER must approve the transaction being managed by the workflow. Upon CMILLER’s approval, DSCHMITT’s approval will be required. Lastly, after the first two have successfully approved the transaction, MOLSON must approve the transaction. WARNING: 4.1.5. Serenic Navigator’s capability to define Workflows and Approval Business Rules allows for the possibility of very detailed or “granular” control of transactions within the accounting software. However, as the rules are made more granular (i.e. to a Department level rather than Division level) there is more maintenance and setup required within the application. Business leaders will need to choose an effective balance between systemic controls and maintenance requirements. Approval Business Rule Setup The Approval Business rules created in support of the Purchasing & Payables functionality determine when a transaction should be submitted through the approval process, using defined workflows. Only Super users have the authority to create and/or edit business rules. To edit or create an Approval Business rule, the Super user should navigate from General Ledger Menu Æ Setup Æ Business Rules, to get to the Business Rule card. Clicking the F5 key will list the business rules and display the screenshot shown below: File: User Guide 20051205 Page 106 of 185 Last printed 2/8/2008 9:14 AM Missouri Botanical Garden & Affiliated Companies -- Version 1.4.2 -- Serenic Navigator User Guide October 2005 Since approval business rules and defined workflows work in conjunction with one another, the type of approval business rules created is a reflection of the workflow complexity. For the Garden’s operation there are currently two types of Approval Rules that have been developed. One rule is for transactions that do not include a project code. The other rule is for transactions including a project code. We’ll look at examples of each. The screenshots below are the approval rule for non-project transactions for Division 839: File: User Guide 20051205 Page 107 of 185 Last printed 2/8/2008 9:14 AM Missouri Botanical Garden & Affiliated Companies -- Version 1.4.2 -- Serenic Navigator User Guide October 2005 On the General tab, the Code for the business rule is established. The naming convention for the Garden for Approval business rules has been to use a code of “APRV – NP or P – Dept/Division #”. The rule displayed above is “APRV-NP-839”, or the Approval Business Rule for Non-Project transactions for Division 839. The checkboxes in the header indicates that this business rule is an “Approval” business rule and that it is “Active”. The type of transactions to which the rule applies is defined in the lower section of the Business Rule form. In this case, the rule applies to any GL account transaction for which the GLACCOUNT code is greater than or equal to 6000 (eliminates balance sheet and income accounts from the rule), and, where the PROJECT code is blank (‘’), and, where the DIVISION is equal to 839. This combined set of conditions defines what transactions are to be treated with this business rule. The “Approval” tab defines what happens to the transactions that have been defined on the General tab. The screenshot of the Approval tab for the business rule is shown below: File: User Guide 20051205 Page 108 of 185 Last printed 2/8/2008 9:14 AM Missouri Botanical Garden & Affiliated Companies -- Version 1.4.2 -- Serenic Navigator User Guide October 2005 All transactions defined by the setup on the General tab will be subject to the approval rule criteria shown in the screenshot. All line transactions between $500.00 and $9,999.99 will use Workflow Routing Code “839-NPM”. All line transactions between $10,000.00 and $999,999,999.00 will use Workflow Routing Code “839-NPE”. When creating a new Approval Business rule, the Super user will want to have considered which workflow to use & will have needed to create a new workflow, prior to creating the Approval Business Rule, if a new workflow is required. Additionally, the Super user will need to click the “Functions” button and select “Verify” in order to both test the validity of the rule they have created and to activate the rule. Inactive rules provide no governance to transactions. 4.1.6. Budget Validation Business Rule Setup As most purchasing transactions are processed, they are subjected to a business rule which compares the subject transaction to the budget available for the transaction’s account code. This comparison is completed based on the appropriate business rule for the transaction. To view the business rules associated with budget comparisons, the Super user should navigate from the General Ledger Menu Æ Setup Æ Business Rules to get to the business rule card. Once the Super user is on the business rule card, they can click the F5 key to view a list of business rules, such as the one shown below: File: User Guide 20051205 Page 109 of 185 Last printed 2/8/2008 9:14 AM Missouri Botanical Garden & Affiliated Companies -- Version 1.4.2 -- Serenic Navigator User Guide October 2005 The business rule for non-project transactions for Division 839 is coded “BDGT-NP-839”, and is shown in the screenshot below: File: User Guide 20051205 Page 110 of 185 Last printed 2/8/2008 9:14 AM Missouri Botanical Garden & Affiliated Companies -- Version 1.4.2 -- Serenic Navigator User Guide October 2005 As with other business rules, the set of transactions for which this rule will apply is defined on the General tab. The header of the business rule card defines the code, effective date, description and the type of business rule (Budget). The lines on the business rule card indicate that this rule will be applied to transactions that come from a Purchase Order (SOURCECODE = PURCHORD), with a GLACCOUNT of greater than or equal to 6000 (the expense accounts), where the PROJECT is blank (‘’) and the DIVISION is 839. After the General tab has defined the types of transactions for which the rule will be applied, the specific business rule is defined on the Budget tab, as shown in the screenshot below: File: User Guide 20051205 Page 111 of 185 Last printed 2/8/2008 9:14 AM Missouri Botanical Garden & Affiliated Companies -- Version 1.4.2 -- Serenic Navigator User Guide October 2005 This business rule is constructed to compare the budget $’s available year to date for the GL Account, Fund, Department combination, with the Actual and Encumbered amount year to date. When the rule is within 5% of being violated, workflow 839-NPM is utilized to request approval for the expenditure via the Approval Processing function. As a basis for an example, let’s say account 7210, for Fund 01U and Dept 039 was budgeted for $1,000 per month beginning Jan 1, 2005. In January of that year, the available budget would be $1,000. On February 1st, another $1,000 would be added to the available budget, raising the year to date amount to $2,000. By May 1st, a total of $5,000 would be the year to date available budget. If by May 1st, $3,750 of Actual expenses for account 7210, Fund 01U, Dept 039 had already been posted, and another $750 had been encumbered to the same account, then this budget rule would consider $500 to be “available” for new expenditures (or Purchase Orders). With this example, if a PO to the account was written for $100, the PO would pass the rule and no Approval processing would be invoked ($4,500 + $100 < 95%*$5,000). If however, a PO in the amount of $400 was written to this account, the business rule would cause the Approval Processing to “flag” this transaction for someone’s attention & disposition. WARNING: File: User Guide 20051205 As with workflows and Approval Business Rules, Serenic Navigator provides the technical capability to define Budget business rules to a very detailed or “granular” level. Business leaders will need to define the level of detail to be monitored within the application. More detailed requirements for monitoring result in more detailed requirements for setup and maintenance of the business rules. Page 112 of 185 Last printed 2/8/2008 9:14 AM Missouri Botanical Garden & Affiliated Companies -- Version 1.4.2 -- Serenic Navigator User Guide October 2005 WARNING: The Garden has undertaken a practice of creating a set of budget numbers for each fiscal/calendar year. Each year’s budget is named uniquely (e.g. OPER-2005). This unique budget name is referenced in each budget business rule. Updating this field of the budget business rules will be an annual maintenance requirement for a Super user in the Controller’s Office. NOTE: The budget oversight capability of the software is based on several operational components. Most obviously, the budget business rules will need to be in place. Additionally, an accurate budget must be recorded within the system, as the basis for monitoring. Lasting, timely posting of expenses needs to occur if the rules are to be beneficial to the end user. Posting expense entries into accounting periods several weeks after that accounting period’s calendar has lapsed, will not provide any support to operational decisions within the calendar period. As an example, if December’s expenses aren’t fully posted until mid-February, when the Budget Manager is making Purchasing decisions in December, only those transactions encumbered or expensed at the time will influence the software’s ability to provide oversight. If the Budget Manager’s operation is utilizing the Purchasing & Payable’s capability to create encumbrances, then the software will probably have timely encumbrance data to use in the budget analysis. If however, the Budget Manager’s operation is not using the PTP capability to create encumbrances and is exclusively relying on posted expense entries to provide budget management, then there is a need for timely posting of expenses to support the budget oversight. 4.2. Vendor Management The Vendor card setup will be performed by Controller’s Office personnel. The Vendor Master (all of the Vendor cards) is at the heart of the Purchasing and Payables operation. Details to the setup of the vendor card are provided elsewhere in this Users Guide. Most PTP users will have “View Only” access to the Vendor Cards 4.2.1. Vendor Setup New vendor administration and setup will be done by AP users in the Controller’s Office. If a buyer has the need to establish a new vendor in the accounting software, they should contact Cheryl Mill and Sharon Harnes via email with the details required for the setup. Setting up a vendor …. 4.2.2. Vendor View Management A user’s view of the Vendor Master data may be constrained through the implementation of a Vendor View. File: User Guide 20051205 Page 113 of 185 Last printed 2/8/2008 9:14 AM Missouri Botanical Garden & Affiliated Companies -- Version 1.4.2 -- Serenic Navigator User Guide October 2005 Vendor views are discussed in detail in the Purchases & Payables Setup section of this User Guide. Please refer to Section 4.1.2 for additional detail. 4.2.3. Vendor Invoice Status Lookup PTP Users may find themselves wanting to respond to a vendor question or internal question about the status of a vendor invoice, the user should first navigate to the Vendor Card, by selecting “Vendors” on the Purchases and Payables menu: File: User Guide 20051205 Page 114 of 185 Last printed 2/8/2008 9:14 AM Missouri Botanical Garden & Affiliated Companies -- Version 1.4.2 -- Serenic Navigator User Guide October 2005 The user should find the vendor card for the vendor in question, through any means of navigation (Fast Find, Forward / Back, etc.). After the user has selected the appropriate vendor card, the user should click the “Vendor” button and choose the “Ledger Entries” option File: User Guide 20051205 Page 115 of 185 Last printed 2/8/2008 9:14 AM Missouri Botanical Garden & Affiliated Companies -- Version 1.4.2 -- Serenic Navigator User Guide October 2005 The Ledger Entries for the chosen vendor will be displayed as shown below. The data presented on the vendor ledger entry screen will be filtered based on the User’s Group Code. User Group Codes have been established to limit users to seeing data that is specific to their Department or Division, as well as prohibiting the viewing of Balance Sheet or Payroll-related transactions. Users in the Controller’s Office will have access to all data within the database. To find a specific vendor invoice number, the user can place their cursor in the External Document No. field and type the vendor’s invoice number. The Fast Find functionality will guide the user to the chosen/typed vendor invoice number. The user can also scroll through the screen to find the chosen vendor invoice number. After a specific vendor invoice number (External Document No.) has been chosen, the user should check the ledger entry line to see if the line is Open or has a Remaining Amount of >$0. If there is a Remaining Amount of $0, then the invoice has been Paid in Full. To find the MBG check number for the invoice payment, the user should click on the “Application” button, and then select the “Applied Entries” choice File: User Guide 20051205 Page 116 of 185 Last printed 2/8/2008 9:14 AM Missouri Botanical Garden & Affiliated Companies -- Version 1.4.2 -- Serenic Navigator User Guide October 2005 File: User Guide 20051205 Page 117 of 185 Last printed 2/8/2008 9:14 AM Missouri Botanical Garden & Affiliated Companies -- Version 1.4.2 -- Serenic Navigator User Guide October 2005 After selecting “Applied Entries”, the user will be presented with the Applied Vendor Entry information. In the example shown below, MBG payment was made with Check No. (Document No.) 220494, posted 9/07/04 File: User Guide 20051205 Page 118 of 185 Last printed 2/8/2008 9:14 AM Missouri Botanical Garden & Affiliated Companies -- Version 1.4.2 -- Serenic Navigator User Guide October 2005 4.2.4. Setting up and Printing 1099 Documents In January and February of every year, each company must print and distribute 1099 documentation reflecting the 1099 eligible transactions of the prior year for each vendor with which a material level of 1099 transactions had occurred. The 1099 documentation is produced on pre-printed forms. Serenic Navigator can produce the information for any year in history, at any point in time. The information in Serenic Navigator can be printed to plain paper, prior to the final production of the 1099 documents, in order to proof the information prior to final production. 4.2.4.1. Establishing the Minimum Reporting Level To set the minimum reporting level for each company, navigate to the Purchases & Payables menu, select “Setup” in the lower right portion of the menu. From the Setup menu, select “1099 Forms-Boxes”, as shown below: After completing the navigation listed above, the user will be presented with the screen shown below: File: User Guide 20051205 Page 119 of 185 Last printed 2/8/2008 9:14 AM Missouri Botanical Garden & Affiliated Companies -- Version 1.4.2 -- Serenic Navigator User Guide October 2005 Please note that there are a large number of 1099 codes from which to choose. The user should select the code for which they wish to establish a minimum reportable value (as shown in the right hand column of the form). To change a value, the user should simply navigate to the correct code line and type a new value in the “Minimum Reportable” column. In the screenshot displayed above, the MISC-07 code has a minimum reportable quantity of $600. After having set the minimum reportable quantity, any production of the 1099 documentation will filter out the vendors whose transactions do not total at least the minimum reportable value for the reporting period. NOTE: The Minimum Reportable value must be set for each COMPANY for each 1099 type. Therefore, it is possible to have a different reporting “threshold” for each company. Establishing the value in one company, DOES NOT establish the value for all companies. 4.2.4.2. Running 1099 reports To produce 1099 documentation, the user should navigate to the Purchase & Payables menu, selecting the “Documents” menu item in the upper right portion of the menu. After selecting “Documents”, the user will be presented with the screen shown below: File: User Guide 20051205 Page 120 of 185 Last printed 2/8/2008 9:14 AM Missouri Botanical Garden & Affiliated Companies -- Version 1.4.2 -- Serenic Navigator User Guide October 2005 To print the “Vendor 1099 Misc” documentation, select that record and click the “Print” button. After the user clicks the “Print” button, they will have an opportunity to set some reporting parameters as shown in the screenshots below: File: User Guide 20051205 Page 121 of 185 Last printed 2/8/2008 9:14 AM Missouri Botanical Garden & Affiliated Companies -- Version 1.4.2 -- Serenic Navigator User Guide October 2005 On the “Vendor Filter” tab, the user can enter vendor codes on the “No.” line, if the user wishes to selectively produce the 1099 documentation. As an example, if the user wants to only print the 1099 documentation for vendor “John Smith”, they count enter the vendor code “JOHSMI” in the filter field of the No. line to selectively produce only that vendor’s 1099 documentation. Leaving the filter blank will cause documentation to be produced for all of the eligible vendors (based on the minimum reporting value established in the previous section). On the “Options” tab, the user will, more than likely, need to change the year value, as shown below: File: User Guide 20051205 Page 122 of 185 Last printed 2/8/2008 9:14 AM Missouri Botanical Garden & Affiliated Companies -- Version 1.4.2 -- Serenic Navigator User Guide October 2005 The Calendar Year value will be defaulted based on the working date of the application at the time this process is executed. Since 1099 documentation is routinely produced in January and February of the year following the reporting calendar year, the value in the Calendar Year field will, more than likely need to be reset to the previous calendar year. In the screenshot above, the calendar year is defaulted to 2005, yet the period for which reports are to be generated is likely calendar year 2004. So the date will need to be reset. 1099 documentation can be produced at any time, for any period for which there is history using this feature. After the correct period is selected, the user can either click “Preview” to see the documentation produced on the monitor, or click “Print” to send the documentation to the printer. When producing the final version of the documentation, the user should take care to insure that the pre-printed form orientation is correct. This can be accomplished through trial and error, using a Xerox copy of the pre-printed form. File: User Guide 20051205 Page 123 of 185 Last printed 2/8/2008 9:14 AM Missouri Botanical Garden & Affiliated Companies -- Version 1.4.2 -- Serenic Navigator User Guide October 2005 4.3. Item Management Item management processes are typically employed in businesses which require inventory tracking. Serenic Navigator has item tracking capability, but the Garden has elected to not invest in that capability. The Retail Operations of the Garden have independent software applications which provide item management processes for their operation. No further detail about item management processes are included in this User Guide. 4.4. Requisitioning Process Requisition business processes provide the way in which the need to purchase is recognized by a purchasing system. Serenic Navigator provides capability to support the requisition process, however it was determined that the Serenic Navigator requisitioning process would not be implemented at the Garden at this time. Rather, the Garden’s operations will rely on its historical approaches to requisition management. These approaches will be specified and managed within the divisions. Typically the approaches include the use of written notes, email, phone calls, personal conversations, etc. to prompt the creation of a purchase order. 4.5. Purchasing Process The Purchasing business process flow is depicted below: File: User Guide 20051205 Page 124 of 185 Last printed 2/8/2008 9:14 AM Missouri Botanical Garden & Affiliated Companies -- Version 1.4.2 -- Serenic Navigator User Guide October 2005 Buyer creates PO (with or without item receiving required) Buyer submits PO for review PO < $500 ? PO >$500 but <$10,000 ? No Yes No OK ? Yes therefore PO Amount > $10,000 Yes Budget Validation Performed Rework PO or Budget or override Budget via Budget Mgr No Budget Validation Performed Yes PO include Fund 02U expense ? Approval routing to: 1st - Budget Mgr, 2nd - Project Admin Budget Validation Performed No Yes Approval routing to: Budget Mgr Approval routing to: 1st - Budget Mgr, 2nd - Project Admin, 3rd - Controller Rework Approve PO is Approved and accounts are Encumbered No No PO include Fund 02U expense ? No Approval routing to: 1st - Budget Mgr, 2nd - Controller Rework Approve Yes Yes No Approve Yes No Approve Yes Serenic Navigator supports the Purchasing Process by offering an automated way to: • Create a PO which requires item receiving • Create a PO which does not require item receiving • Validate planned expenditures against budget • Manage approval workflows • Encumbering accounts after budgetary validation and approvals have occurred File: User Guide 20051205 Page 125 of 185 Last printed 2/8/2008 9:14 AM Missouri Botanical Garden & Affiliated Companies -- Version 1.4.2 -- Serenic Navigator User Guide October 2005 4.5.1. Creating a Purchase Order – “The Basics” In order to create a purchase order within Serenic Navigator, the buyer should be prepared with information about the item(s) to be ordered, the vendor from which it is to be ordered, the specifics of the items (including description and price) and the company accounting codes to be used for the transaction. Purchase orders can be created in a way which requires the items to go through a receiving process, or they can be exempt from a receiving process. Typically, service items would not be received. As an example, contracting for 4 hours of a musical group’s time could be documented through the use of a purchase order, but it is unlikely that the buyer would want to use the receiving process to indicate that the 4 hours of service had been performed. Similarly, some small purchases may not warrant the rigor of the receiving process. As an example, if two cables, with a total price of $20 were ordered via a purchase order, it may not be efficient to use the receiving process to provide the additional controls for the transaction. Whereas, if an order for 3 servers totaling $45,000 is placed, receiving controls would likely be used to track the transaction through to completion. Divisional users will determine when receiving controls are to be activated on a purchase order by purchase order basis. To create a Purchase Order the user should navigate to the Purchases & Payables menu: File: User Guide 20051205 Page 126 of 185 Last printed 2/8/2008 9:14 AM Missouri Botanical Garden & Affiliated Companies -- Version 1.4.2 -- Serenic Navigator User Guide October 2005 The user will click on the menu item for “Purchase Orders” to display: To complete the Purchase Order the user will: 1. Tab out of the “No.” field to have the system automatically assign a PO number 2. Select a “Buy-from Vendor No.” either from the list or by typing the correct value 3. Confirm that the Buy-from information which is automatically populated onto the form is correct. 4. Optionally, select a different “Buy-from Address Code” if the vendor has multiple addresses 5. Optionally complete the “Requested For” field 6. Optionally complete the “Deliver-to Address Code” 7. Optionally check the “Item Receiving Required” checkbox NOTE: It is the policy of the Garden to create purchase order documentation for orders equal to or greater than $500 in value. PO’s can be created for total values of less than $500. The operating department’s discretion should be applied when considering the use of Purchase Orders for values of less than $500. It is the policy of the Garden to require receiving functions be performed for PO lines greater than or equal to $500 8. On the PO line select or type the Natural Account, Project Code (if needed), the Fund No., and the Department Code to be charged. Note any Validation Errors that occur during the assignment of the accounting codes 9. Optionally, enter an Item Class (e.g. cables, monitors, etc.) File: User Guide 20051205 Page 127 of 185 Last printed 2/8/2008 9:14 AM Missouri Botanical Garden & Affiliated Companies -- Version 1.4.2 -- Serenic Navigator User Guide October 2005 10. Either accept the Description which is defaulted from the Natural Account Number or, most likely, enter a description of the item/service to be purchased 11. Enter the Order Qty 12. Enter the Order Unit Cost 13. A Comment may be added to the PO line by clicking the “Line” button at the bottom of the form and following the “Comment” menu item displayed. 14. Repeat PO line entries until the Purchase Order is complete 15. Note that the Line Status level will be “NEW” 16. Click the “Submit Order for Review” button on the bottom of the form to complete the Purchase Order process 17. Note that the Line Status level has changes to either “Pending Approval” or “Approved”. 18. After the PO has been fully “Approved” the order may be optionally printed by clicking the “Print Order” button at the bottom of the form. The user can then print any of three formats for the PO. Options include the “For Vendor”, “For Department”, “For Receiving” 19. The buyer should communicate the PO information to the Vendor for fulfillment. 4.5.2. Creating a Purchase Order – “In Detail” An explanation of each field on the Purchase Order form is provided in greater detail below: Data or Field Field label Description Location General Tab – No. This is the Purchase Order Number. It is automatically assigned header left side by the software. In order to get a PO number assigned, the user should tab through the field. General Tab – Buy-from Vendor No. header left side This is the Vendor number associated with each vendor. Typically it is the first three letters of the first name of the vendor along with the first three letters of the second name of the vendor (e.g. Ace Hardware = ACEHAR). The user can either type the code or lookup the code to find the correct vendor. Vendors have “Buy-from” addresses and “Pay-to” addresses. Buyers should only care about the “Buy-from” addresses. The Accounts Payable function will insure that the correct “Pay-to” address is used in making payment to the vendor. If a new Vendor is needed, then the Controller’s Office should be contacted to setup the vendor information. General Tab – Buy-from Address Some vendors may have multiple Buy From addresses. As an header left side Code example, Ace Hardware may have multiple locations from which to buy goods. The Buyer should insure that they are using the correct Buy-from Address Code when multiple addresses are possible. Typically, the most popular address will be defaulted into the address information for the vendor. File: User Guide 20051205 Page 128 of 185 Last printed 2/8/2008 9:14 AM Missouri Botanical Garden & Affiliated Companies -- Version 1.4.2 -- Serenic Navigator User Guide October 2005 Data or Field Field label Description Location If a new Buy-from Address is required, the Buyer can add the address following the procedure in this document. General Tab – Buy-from Vendor This name is defaulted from the Vendor Card. The user should header left side Name not have to enter a new name. If the vendor name is not appropriate, but the vendor code is, then the Controller’s Office should be contacted to fix the Vendor Card General Tab – Buy-from Address header left side General Tab – will change if a Buy-from Address code is selected Buy-from Address 2 header left side General Tab – Bu-from Address City Buy-from State This information is defaulted from the vendor card, initially, but will change if a Buy-from Address code is selected Buy-from Zip Code header left side General Tab – This information is defaulted from the vendor card, initially, but will change if a Buy-from Address code is selected header left side General Tab – This is simply an additional address line which may be used for the vendor. header left side General Tab – This information is defaulted from the vendor card, initially, but This information is defaulted from the vendor card, initially, but will change if a Buy-from Address code is selected Buy-from Contact This information is defaulted from the vendor card, initially, but header left side will change if a Buy-from Address code is selected. The buyer may type information into this field that is specific to the PO. It is an optional field General Tab – Order Date This field defaults in the working date for the user. The working header right side date is typically the same as the calendar date. This data can be changed by the buyer if necessary. General Tab – Created By The information in this field is auto populated & will display the header right side General Tab – userid of the individual logged in to create the PO Requested For This field is optional & can allow the Buyer to note for whom the header right side PO is created. This may be particularly useful for tracking PO information. This information is also populated on the PO print out for Receiving and for the Department. General Tab – Deliver-to Address There are a variety of receiving locations that have been noted header right side Code within the software. A “Deliver-to Address” may be chosen by selecting from the available codes. If additional codes are required, contact the System Administrator. This code controls the “Ship to Information” on the printed PO General Tab – header right side Order Status: Approval Receipt This field is populated by the software & will track the status of the order in its Approval cycle, as well as the status of any receipts to be performed for the order and the status of the Invoice(s) associated with the Order Invoice Mid Header Item Received This checkbox should be clicked/checked if the user knows that Required they want to use the item receiving process as part of the operational and financial controls associated with the Purchase File: User Guide 20051205 Page 129 of 185 Last printed 2/8/2008 9:14 AM Missouri Botanical Garden & Affiliated Companies -- Version 1.4.2 -- Serenic Navigator User Guide October 2005 Data or Field Field label Description Location Order. If the box is not checked, upon the completion of each line of the PO the user will be provided a reminder message that asks them if receiving is required. Responding with a “Yes” to the reminder message will place a check in this box. Shipping Tab – Ship-to Name This is automatically populated based on the company within header left side Shipping Tab – which the Purchase Order is created Ship-to Address This is automatically populated based on the Deliver-to Address header left side Shipping Tab – Code chosen on the General tab Ship-to Address 2 header left side Shipping Tab – Ship-to City This is automatically populated based on the Deliver-to Address header left side Shipping Tab – Code chosen on the General tab Ship-to State This is automatically populated based on the Deliver-to Address header left side Shipping Tab – Code chosen on the General tab Ship-to Zip Code This is automatically populated based on the Deliver-to Address header left side Shipping Tab – Code chosen on the General tab Ship-to Contact This is automatically populated based on the Deliver-to Address header left side Shipping Tab – This is automatically populated based on the Deliver-to Address Code chosen on the General tab Code chosen on the General tab Ship-to UPS Zone header left side This is automatically populated based on the Deliver-to Address Code chosen on the General tab Shipping Tab – Shipment Method header right side Code Currently not utilized, but available if needed Shipping Tab – Payment Method header right side Code Shipping Tab – Requested Receipt User defined date that will appear on the Purchase Order as the header right side Date “Requested Delivery Date” Shipping Tab – Promised Receipt User entered value based on date provided by the vendor header right side Date Shipping Tab – Expected Receipt User entered value – typically not important unless inventory header right side Date planning is being utilized. Value will appear on the Purchase Currently not utilized, but available if needed Order as the “Expected Shipment Arrival Date” Shipping Tab – Cancel After Date header right side PO Line User defined date that will appear on the Purchase Order as the “Cancel After” date Val. Error This field is populated by the system after the data entry on the line has been processed through the business rules to check the account coding. Typically this check happens after the last field has been entered for the line. If a check mark appears, the entered accounting code is invalid. The user can highlight the line and click the “Check Errors” button on the bottom of the form to determine what entry caused the problem. The Controller’s Office defines valid account code combinations and should be File: User Guide 20051205 Page 130 of 185 Last printed 2/8/2008 9:14 AM Missouri Botanical Garden & Affiliated Companies -- Version 1.4.2 -- Serenic Navigator User Guide October 2005 Data or Field Field label Description Location contacted if additional account code combinations are required. PO Line Line No. Each Line on the Purchase Order will be assigned a line number automatically by the system. Typically, the first line is number 10000, and the second is 20000. If a line is inserted between the first and second line it can be assigned a line number between 10000 and 20000. Line numbers are important in resolving data entry errors as they are referenced in error messages. PO Line Status The status of a PO Line is automatically assigned by the system. Values can include: New, Approval Pending, Transfer Budget Pending (not used in the Garden setup), Approved, Disapproved, Encumbered, Partial Received, Received, Invoiced, and Cancelled. The software controls the line status levels. Line status levels are used to control the PO Header status levels. PO Line No. Of Approvals The system will display an integer value for the number of approvals that the line has completed. The number required to achieve full approval depends on the approval rules which have been constructed. As an example, a $15,000 purchase on a project must be approved by the Division Mgr, the Project Admin and the Controller. 3 approvals are required. PO Line Natural Account No. Required for all transactions. The Natural Account Number is one of the base accounting codes to be assigned to a transaction. The user can enter the value or look up and choose the value from the list. For some vendors, a default value has been assigned (as an example, if Laclede Gas is the chosen vendor, the Natural Acct No. will be defaulted to 7460 (Gas). Not all departments can use all Natural Account numbers and not all Projects can use all Natural Account numbers. Which Natural Account numbers can be used in the account coding is controlled by the Controller’s Office PO Line Project Code Optional for data entry. F an expense is to be coded to a Project, the correct Project Code must be assigned in this field. The user can either type the code in or can use the lookup feature to select the proper code. Only transactions to be charged to projects require data entry in this field. Non-project transactions should leave this field blank. PO Line Fund No. Required for all transactions. The user must enter the Fund No. for the expenditure. The number can be typed in or can be found via the lookup. Recall that the fund numbers are a combination of a number and letter, such as 01U. PO Line Department Code Required for all transactions. The user can enter the correct value or can use the lookup feature to select the value. PO Line Item Class Optional for data entry. This field is available to the user to classify the type of purchase for reporting purposes. As an File: User Guide 20051205 Page 131 of 185 Last printed 2/8/2008 9:14 AM Missouri Botanical Garden & Affiliated Companies -- Version 1.4.2 -- Serenic Navigator User Guide October 2005 Data or Field Field label Description Location example, the IT Dept may want to have Item Classes such as “cables”, “monitors”, “service contracts”, etc. The values used in this field are user editable and are unique to the Division. So, if Horticulture was Item classes of “seeds” and “bulbs”, the IT Division users will not have “seeds” and “bulbs” amongst their potential Item class choices PO Line Description The Description field will be populated by the system with the name of the Natural Account. In many cases a description such as “Supplies” for Acct 7210 is not sufficient for the PO to reflect what is intended to be purchased. The user can edit the Description field to provide sufficient detail to the PO. PO Line Order Quantity Required for all transactions. The user should enter the count that they are expecting to purchase & receive of the item they have ordered. Many times this value will be “1”. The user should be careful to have the Order Qty be consistent with the way in which they described the item to be purchased. As an example, if the user wants 144 pencils & the description is “a Gross of No. 2 pencils”, then the Qty is 1. Alternatively, if the description is “No. 2 pencils”, then the Qty should be 144. Receiving & invoicing counts must be consistent with the Order counts (in terms of units) PO Line Order Unit Cost Required for all transactions. The Order Unit Cost should reflect the Buyer’s best information about the price of the item being ordered. It may be a catalog price, a value determined through a quote, or just a “best guess”. The accounts will be encumbered based on this value, multiplied by the Quantity value. Accurate Order Unit Costs will result in accurate encumbrances. PO Line Order Amount The system will calculate the extension of Order Quantity multiplied by Order Unit Cost. The user should be careful to have the cost information and quantity information based on the same units. PO Line Comment The system will display a check mark in this field if the user has created a comment on the PO. Comments can be created and viewed by clicking the “Line” button at the bottom of the form. 4.5.3. Approval Processing – “The Basics” When a Purchase Order or Invoice without Purchase Order are submitted for review, the Budget checking business rules and Approval business rules are invoked. Individuals who are the “Approvers” in the workflow process should periodically (daily) check their Approval Processing menu for items requiring their review / approval. The Purchase Order shown below is ready to be submitted for review: File: User Guide 20051205 Page 132 of 185 Last printed 2/8/2008 9:14 AM Missouri Botanical Garden & Affiliated Companies -- Version 1.4.2 -- Serenic Navigator User Guide October 2005 Note that the line Status is “New”. After the user has clicked the “Submit Order for Review” button, the line Status changes as shown below: File: User Guide 20051205 Page 133 of 185 Last printed 2/8/2008 9:14 AM Missouri Botanical Garden & Affiliated Companies -- Version 1.4.2 -- Serenic Navigator User Guide October 2005 The line status is now “Approval Pending” In order to Process the Approval, the Approver (in this case CMiller) navigates to the Approval Processing portion of the software: File: User Guide 20051205 Page 134 of 185 Last printed 2/8/2008 9:14 AM Missouri Botanical Garden & Affiliated Companies -- Version 1.4.2 -- Serenic Navigator User Guide October 2005 On the Approval Processing form, we see that Chuck Miller has two approvals awaiting his response for this order. The first is a Type = Approval, which is a result of the business rule requiring that expenditures in Division 839 >$500 must be approved by Chuck. The second is a Type = Budget, which is a result of this expenditure causing this account to exceed the budgeted amount year to date. After responding, as shown below, Chuck would click the “Process” button to update the Purchase Order: File: User Guide 20051205 Page 135 of 185 Last printed 2/8/2008 9:14 AM Missouri Botanical Garden & Affiliated Companies -- Version 1.4.2 -- Serenic Navigator User Guide October 2005 After the Approvals have been processed, the Purchase Order line is now at an “Approved” header status, with the line showing that it is “Encumbered” File: User Guide 20051205 Page 136 of 185 Last printed 2/8/2008 9:14 AM Missouri Botanical Garden & Affiliated Companies -- Version 1.4.2 -- Serenic Navigator User Guide October 2005 NOTE: Purchase Orders should have an Order Approval Status of “Approved” prior to sending the Purchase Order to the Vendor. The Order Approval Status is printed on the PO and is required to be at an “Approved” status in order for the order to constitute a valid financial commitment to the vendor. If a Purchase Order is printed prior to achieving the “Approved” status, then a status level of “New” or “Approval Pending” will print on the order. The buyer should not send an order like this to the vendor and the vendor should reject this order, since it is not yet approved. In addition to having the Approvers manage their Approval Processing “Inbox”; they can also keep track of their responses to previous approval requests. These are retained in the Approvers “Outbox”. These entries can be viewed by having the Approver chose “Outbox” in the header of the Approval Processing form. 4.5.4. Approval Processing – “In Detail” The Approval Processing function in Serenic Navigator is a way in which business processes are supported by workflows within software. The workflow component of the Purchase Order process has been setup in order to route the approvals to the people designated in the business rules. Normally, those individuals are at work and have access to the software. When they are at work, they will have a routine of checking their Approval Processing inbox so that they can determine the disposition of the items contained therein. File: User Guide 20051205 Page 137 of 185 Last printed 2/8/2008 9:14 AM Missouri Botanical Garden & Affiliated Companies -- Version 1.4.2 -- Serenic Navigator User Guide October 2005 If the individuals in the approval workflow do not have access to the software for a significant period of time, their inbox will continue to gather approval requests, in the same way that their paper mailbox gathers inbound mail for their review. Their inability to be attentive to their inbox will halt the workflow and will prevent Purchase Orders from being able to be completed with vendors. So, in the event of an extended absence from work &/or the software, the approvers may need to have someone else assume their approval duties. There are two ways in which this can be enabled. An alternative user can be defined for the approval process every time an extended absence is expected (long trips, etc.). The alternative user can be any user that the Approver would like to designate. Another safeguard to monitor approval inboxes is that some users (likely superusers in the Controller’s Office) can be provided with a “Global Inbox” view. With that capability, they can see and process any approvals for any users in the system. This capability should be restricted to few individuals who, typically, only have to use their approval authorities as a backup to the normal approval routing. The Approval Processing form detail is depicted below: <table> 4.5.4.1. Setting up Alternative Users 4.5.4.2. Setting up Global Inbox authority for a user 4.6. Receiving Process In the Garden’s business process design, the receiving process is completed by the departments which initiate the purchase order. There are two components to the department receiving process. Item receipts will sometimes be required and will be performed within the accounting software to support the necessary controls for purchases of some significance. The second form of receiving that occurs in the departments is “invoice receiving”. The Garden is electing to continue the practice of vendor invoices being directed to the departments which originate the purchase. This is done in order to have the buying organizations authorize payment and establish the correct accounting codes. These two processes and the supporting software are explained below: 4.6.1. Item Receiving – “The Basics” When a buyer has elected to require item receiving for a purchase order, additional data entry in the accounting software must be performed in order to authorize and complete payment to the vendor. The additional data entry serves as a form of accounting controls and provides data / history which can be gathered for reporting. File: User Guide 20051205 Page 138 of 185 Last printed 2/8/2008 9:14 AM Missouri Botanical Garden & Affiliated Companies -- Version 1.4.2 -- Serenic Navigator User Guide October 2005 Data entry into Serenic Navigator will normally be performed by users who have some experience with the software. If a department has an employee perform the physical receipt of the goods / items and a separate administrative employee complete the data entry, then the “Receiving Version” of the Purchase Order can be used (paper & pencil) to assist in the communication between the two employees. Departments may adopt other practices, such as using signed and dated bills of lading or shipping paperwork, to convey the information from the point of physical receipt to whoever is doing the data entry in Serenic Navigator. Regardless of how the data is collected, the Serenic Navigator user will navigate to the Item Receiving menu on the Purchases & Payables menu form, as shown below: When the user navigates to the Item Receiving functionality, they will be presented with a form that looks a lot like a blank PO form, as shown below: File: User Guide 20051205 Page 139 of 185 Last printed 2/8/2008 9:14 AM Missouri Botanical Garden & Affiliated Companies -- Version 1.4.2 -- Serenic Navigator User Guide October 2005 Since the items being received were ordered on a Serenic PO, the user needs to go find the original Serenic PO NOTE: The Item Receiving process can only be performed on Items ordered on a Serenic PO for which Item Receiving was required. If a user ordered some goods over the phone and never created a Serenic PO, the Item Receiving process is the wrong place to start the data entry process. A Serenic PO must first be created prior to performing an Item Receipt in the software.. To find the original PO, from the header of the blank form, the user can click F5, or navigate to the “Order” button, click it & then click the “List” menu item. The user will be presented a list of orders. This list of orders is not the entire open order list, but rather has been filtered based on the user’s assigned role in the purchasing function. Buyers will see any orders they created or orders that were requested for them. Managers will see any orders in the Division, regardless of buyer id, any orders they originated, and any orders which were requested for them. In all cases, the list or PO’s returned will be constrained to only those for which Item Receiving was required. A filtered list of orders is shown below: File: User Guide 20051205 Page 140 of 185 Last printed 2/8/2008 9:14 AM Missouri Botanical Garden & Affiliated Companies -- Version 1.4.2 -- Serenic Navigator User Guide October 2005 Since the user will have some documentation to indicate the nature of the items received, they will need to select the PO used to order the items received. The user can do that by selecting the line of the order and click on “OK”. After they click “OK” they will be presented with a form which looks like the original PO will a couple exceptions. An example is shown below: File: User Guide 20051205 Page 141 of 185 Last printed 2/8/2008 9:14 AM Missouri Botanical Garden & Affiliated Companies -- Version 1.4.2 -- Serenic Navigator User Guide October 2005 The user will need to enter a “Received by” name in the header. This name can be any company employee and is not restricted to just the users of the software. This name provides some historical documentation to who performed the physical receipt of the goods. It is recommended that the name entered is the person who verified the receipt of goods & collected any paperwork and knows of the whereabouts of the items. It would be less meaningful to enter the name of the person typing in the data, unless they too met the criteria listed above. After the name is entered in the header field, the user should enter the correct data. This could include receiving exactly what was ordered or less or more. One option is to use the button at the bottom of the form to “Receive all unreceived Items”. This is a bit of a short cut to data entry, but should only be used if it is appropriate to the circumstances. A completed form may look like: File: User Guide 20051205 Page 142 of 185 Last printed 2/8/2008 9:14 AM Missouri Botanical Garden & Affiliated Companies -- Version 1.4.2 -- Serenic Navigator User Guide October 2005 After completing entry in the “Receive Quantity”, “Received By” and “Date of Receipt” fields, the item receipt is ready to post. The user must post the item receipts in order to eventually pay the vendor. Note that after posting the receipt the “Already Received Quantity’ and the “Yet to Receive Quantity” will change their values from the original values held in those fields. After posting the items received, the item receiving process is complete. 4.6.2. Item Receiving – “The Details” To be completed 4.6.3. Invoice Receiving Vendor invoices have historically been received by the department responsible for buying the items or services on the invoice. The departments historically have reviewed the invoice for accuracy and have authorized payment of the invoice, and have also established the account coding to be used for the expense. The Garden desires to retain the process of invoice receipt by the departments. Over time the operating departments of the Garden have developed tracking mechanisms in support of the administrative work of processing invoices to the Controller’s Office for payment. The features and functions of Serenic Navigator have been designed to create some efficiency to the administrative work of processing invoices for eventual payment. Additionally, with the invoice data retained as File: User Guide 20051205 Page 143 of 185 Last printed 2/8/2008 9:14 AM Missouri Botanical Garden & Affiliated Companies -- Version 1.4.2 -- Serenic Navigator User Guide October 2005 part of the accounting database, reports can be created to support both the Controller’s Office need for information and the Operating Department’s needs. The Invoice Receiving procedure is dependent on the type of Purchase Order to be processed. The choices include: • Serenic PO’s with Receipts (Item Receipts) • Serenic PO’s without Receipts • Invoices without Serenic PO’s 4.6.3.1. Serenic PO’s with Receipts After navigating to the “Invoice Receiving” menu item on the Purchases & Payables main menu, the user will be provided with the choice of Invoice Receipt type via a message box and radio button selections, as shown below: By choosing “Serenic PO’s with Receipts” and clicking “OK” the user will be presented with a blank PO form. Once on this form, the user should find the PO which is related to the invoice they are receiving. This can be done by clicking F5 while the user’s cursor is positioned in the header of the document or by clicking the “Order” button and choosing “List” on that menu. Having done that, the user will see a screen similar to the one displayed below: File: User Guide 20051205 Page 144 of 185 Last printed 2/8/2008 9:14 AM Missouri Botanical Garden & Affiliated Companies -- Version 1.4.2 -- Serenic Navigator User Guide October 2005 This list contains PO’s which have had an item receipt required and are related to the user’s department or division (depending on the user’s Purchasing role). From this list the user should select the order for which they have received the invoice – note that Orders Numbers with both an “Approved” and Not Submitted status are displayed with a bold font. After selecting the associated order, the user will see: File: User Guide 20051205 Page 145 of 185 Last printed 2/8/2008 9:14 AM Missouri Botanical Garden & Affiliated Companies -- Version 1.4.2 -- Serenic Navigator User Guide October 2005 This screen contains the PO information and an indication of how many receipts of items have been performed for the PO. By navigating to the “No. of Receipts” field in the header section of the document and clicking on the field and the dropdown arrow, the user will be able to view the receipts for the order as shown below: File: User Guide 20051205 Page 146 of 185 Last printed 2/8/2008 9:14 AM Missouri Botanical Garden & Affiliated Companies -- Version 1.4.2 -- Serenic Navigator User Guide October 2005 This form is “wide” and has a lot of important columns of information available for each line. The screenshot above displays the information on the right side of the form which is most related to the Invoice Receiving process. The columns with BOLD lettering are those which require data entry to complete the invoice receiving process. They include: “Invoice Quantity”, “Invoice Unit Cost”, “Invoice Received By”, “Date Invoice Received (by the dept) “Vendor Invoice No.”, and “Vendor Invoice Date”. By completing the fields and clicking the “Submit to AP” button, the display will change (as shown below) and a label will be printed from the user’s computer to be affixed to the invoice prior to deliver to the Controller’s Office. File: User Guide 20051205 Page 147 of 185 Last printed 2/8/2008 9:14 AM Missouri Botanical Garden & Affiliated Companies -- Version 1.4.2 -- Serenic Navigator User Guide October 2005 The label printed by the Submit to AP button replaces the need for the department to stamp, code & sign the invoice. The label will also give the Controller’s Office an indication that the order and invoice have been processed in Serenic Navigator. Note that the line on the form now indicates that it has been submitted to AP for payment (check box in right hand column). If the user notes an error in the vendor invoice (e.g. wrong invoice number entered) they can “UnSubmit from AP”, change the vendor invoice number and re”Submit to AP” printing a new label. The Unsubmit functionality will become unavailable to the user when AP has started processing the invoice for payment. After affixing the label to the invoice, the paper should be delivered to the Controller’s Office for payment review, final data entry and payment scheduling. By completing this process in its entirety, the software (along with the user!) has associated the original PO with any/all item receipts and any/all invoices. This “three-way” match provides the necessary association of the data elements in support of the business process and accounting controls requirements. 4.6.3.2. Serenic PO without Receipts The receipt of an invoice for a Serenic PO that does not require receipt of items requires one less navigational step. After navigating to the Invoice Receiving, Serenic PO without Receipts form the user will see: File: User Guide 20051205 Page 148 of 185 Last printed 2/8/2008 9:14 AM Missouri Botanical Garden & Affiliated Companies -- Version 1.4.2 -- Serenic Navigator User Guide October 2005 To receive the invoice, the user should find the associated PO by clicking the F5 key or navigating to the “Order” button, clicking and the clicking the “List” menu item. From the list of PO’s the user can select the one associated with the invoice. After their selection, they will be presented with a view similar to: File: User Guide 20051205 Page 149 of 185 Last printed 2/8/2008 9:14 AM Missouri Botanical Garden & Affiliated Companies -- Version 1.4.2 -- Serenic Navigator User Guide October 2005 The user is able to enter the invoice information directly on the line of this document without having to navigate to the item receipts. With this simplifying step, the software is able to associate the invoice to the PO and create a “two-way” match. This level of controls may be deemed sufficient for some buying events. After entering the information, the user will click the “Submit to AP” button to produce the label for the invoice, in preparation for sending to the Controller’s Office. 4.6.3.3. Invoice without a Serenic PO An important and added feature of the Invoice Receiving functionality is the ability to receive an invoice which has not been originated by a Serenic PO. The PO may have originated in the paper system or perhaps through some other software, but, because Serenic Navigator controls vendor payments, the Invoice eventually needs to be entered into the Serenic Navigator software. By using the Invoice without Serenic PO capability, the user benefits by: File: User Guide 20051205 • Creating traceability to the invoice prior to sending it to the Controller’s Organization • Avoids hand stamping and coding of the invoice document • Enables the use of the Aging Status view (discussed later) • Creates encumbrances for the expense, providing a more timely view of the budgetary impact of an invoice. • Supports better reporting available through the Serenic Navigator software Page 150 of 185 Last printed 2/8/2008 9:14 AM Missouri Botanical Garden & Affiliated Companies -- Version 1.4.2 -- Serenic Navigator User Guide October 2005 The overall business process for processing Invoices without a Serenic PO is displayed below: Invoice without a Serenic Purchase Order Vendor AP Invoicing Create & Send Invoice Dept Invoice Receiving Receiving Purchase Order Approvals Receive Invoice Inv Inv Receive Invoice in Serenic Submit Invoice for Review Auto-create Serenic PO Resolve Pass No Budget Check ? Yes Pass No Approval s? Line Status Set to Encumbered Submit Inv. to AP in Serenic Yes Auto-create Receipt matching Invoice Cost & Qty Invoice Labels Print Copy Invoice Doc for Dept File Receive Inv Doc Inv Send Invoice Doc to AP Inv Enter Invoice in Serenic Wait for Due Date Make Payment Receive Payment Send Payment In order to use the Invoice without Serenic PO capability the user will navigate to this screen: File: User Guide 20051205 Page 151 of 185 Last printed 2/8/2008 9:14 AM Missouri Botanical Garden & Affiliated Companies -- Version 1.4.2 -- Serenic Navigator User Guide October 2005 The user should tab out of the first “No.” field to have the number automatically assigned. By completing the remainder of the form, much in the way the use would if completing a Purchase Order, and then submitting the Order/Invoice for review, via “Submit Order for Review” button, the user will employ all of the validation and approval capabilities automated within Serenic Navigator. Periodically, the user will review this form & all the Invoices listed hereunder and will find that some have been approved and are ready for to be Submitted to AP. In fact, for some invoices (e.g. <$500 and without any budget overruns) the invoice will be ready to submit to AP shortly after submitting for review. 4.7. Accounts Payable Process 4.7.1. Creating an Invoice Batch 4.7.2. Entering an Invoice into a batch – with no prior Serenic data 4.7.3. Entering an Invoice into a batch – with prior Serenic data After the AP user has created a batch and is prepared to enter an invoice, if the paper invoice is labeled, indicating that the invoice has associated data within Serenic Navigator, the AP user should: File: User Guide 20051205 Page 152 of 185 Last printed 2/8/2008 9:14 AM Missouri Botanical Garden & Affiliated Companies -- Version 1.4.2 -- Serenic Navigator User Guide October 2005 1. Tab through the “No.” field, to assign a Serenic Navigator invoice number to the data 2. Select or enter the “Vendor No.” associated with the invoice 3. After entering the Vendor No. information, Invoice header information will default onto the header of the form, based on defaults established for the Vendor and for the Invoice batch, as shown below: 4. After the header information has been defaulted onto the form, the user should click the “Functions” button & click the “Get Invoices” menu item, as shown below: File: User Guide 20051205 Page 153 of 185 Last printed 2/8/2008 9:14 AM Missouri Botanical Garden & Affiliated Companies -- Version 1.4.2 -- Serenic Navigator User Guide October 2005 5. When the “Get Invoices” menu item is selected, the software will retrieve all of the invoice information entered into the system for that vendor, as shown below: File: User Guide 20051205 Page 154 of 185 Last printed 2/8/2008 9:14 AM Missouri Botanical Garden & Affiliated Companies -- Version 1.4.2 -- Serenic Navigator User Guide October 2005 6. From this list of entered Order / Invoice information the AP user should select the correct document. This can be done by matching the Order No. on the invoice label with the Order No. on the form above. The AP user highlights the correct line and clicks “OK”. 7. After clicking “OK” the details of the Order / Invoice are populated onto the invoice form, as shown below: File: User Guide 20051205 Page 155 of 185 Last printed 2/8/2008 9:14 AM Missouri Botanical Garden & Affiliated Companies -- Version 1.4.2 -- Serenic Navigator User Guide October 2005 8. The AP User should review the paper vendor invoice to confirm information on the form such as “Pay-to” address, Invoice Date & Terms any Discounts or 1099 Code assignments that are necessary. The AP User needs to process the invoice in a way which delivers accuracy to the data contained therein. It is possible that the AP User will only have to review the data for accuracy, if it is all appropriately entered. 9. After the AP User has verified or changed the information on the invoice form, the next blank invoice form can be created using the F3 key. 10. After all the invoices for a batch have been entered, the batch may be posted. 11. In order to provide updated information to the Aging Status view, AP users should post their work daily. File: User Guide 20051205 Page 156 of 185 Last printed 2/8/2008 9:14 AM Missouri Botanical Garden & Affiliated Companies -- Version 1.4.2 -- Serenic Navigator User Guide October 2005 4.8. Payment Process Detail to be provided later 4.9. Aging Status 4.9.1. Aging Status – “The Basics” WARNING: The computer will take some time to populate this form. The form is executing many complex queries to present the data. As a result, it is relatively slow in populating the form with data. The Serenic Navigator software has been customized to provide a single form from which oversight management of the Purchase to Pay business process can be performed. A view of that form is shown below. This form can be found by navigating to the Purchases & Payables menu. The “Aging Status” menu item is in the right column of menu items. This form provides a view of the Purchase Order and Purchase Invoice status for orders and invoices entered using the Purchase Order and Invoice Receipt processes. The header of the form allows the user to filter the data that is presented. The data analysis is always performed on the data as of the time of the viewing of the form. Filters File: User Guide 20051205 Page 157 of 185 Last printed 2/8/2008 9:14 AM Missouri Botanical Garden & Affiliated Companies -- Version 1.4.2 -- Serenic Navigator User Guide October 2005 can be set for Division, Department, Vendor, PO Number or Invoice Number. Any combination of all, some or none of the filters may be used to suit the users preferences. The data on the form will be refreshed after the filter values are entered. The status levels of Purchase Orders and Purchase Invoices are displayed along the vertical axis of the table. Each status level will be explained in greater detail below. The horizontal axis of the table depicts “time buckets”. The “0 – 7 Days” time frame reflects date that is current to 7 days old, essentially, the past week’s activity. The “8 – 14 Days” time frame reflects data from the week prior. The form provides time buckets until the data is 365 days old, after which the data is not accessible via this form. It is important to note that Purchase Orders are tracked form the Order Date – so a Purchase Order with an order date of 1/05/2005 would appear to be 15 days old on 1/20/2005. Similarly, the Purchase Invoices are aged from the Vendor Invoice Date. The time frames have been color coded to offer a “stoplight” analysis view of the data. Status levels & time frames with a green background are thought to be within the normal operating range of the Purchases & Payables process. Yellow status levels & time frames indicate that attention should be provided to these orders or invoices to determine what is keeping them from progressing through to completion. Red status levels indicate a problem that warrants attention, such as an invoice received and submitted to AP for entry that has yet to become a posted invoice after 31 days. Once the Aging Status form has been populated the user can “drill down” on data to reveal the underlying information. As an example, if the user wanted to understand which PO has been Fully Received, but without a posted invoice in the 61-90 day timeframe, the user can click on that cell of the form and click the drop down arrow to reveal some information about that transaction, as shown below: File: User Guide 20051205 Page 158 of 185 Last printed 2/8/2008 9:14 AM Missouri Botanical Garden & Affiliated Companies -- Version 1.4.2 -- Serenic Navigator User Guide October 2005 File: User Guide 20051205 Page 159 of 185 Last printed 2/8/2008 9:14 AM Missouri Botanical Garden & Affiliated Companies -- Version 1.4.2 -- Serenic Navigator User Guide October 2005 The first layer of the drill down reveals the PO number, the vendor name and other pertinent summary information. To get to the original transaction, the user can click on the line, then the “Line” button, then “Card” to reveal the original PO information, as shown below: Simply closing the windows, by clicking the “X” in the upper right corner, returns the user to the Aging Status form. The Aging Status form provides a consolidated view of the Purchasing & Payables processes and can serve as a way for management to provide oversight to the Purchasing & Payables processing. 4.9.2. Aging Status – “The Details” Details of the Aging Status Levels are provided below: It should be noted that for an Invoice to be recognized in the status levels, it must be posted by AP. Invoice receipt processes performed by the departments are not treated as Accounts Payable activities by the software. The accounting controls set the organization, and used in the software, determine that Accounts Payable activities should occur independently from the Buying and Receiving processes. Document Status Level Description Type File: User Guide 20051205 Page 160 of 185 Last printed 2/8/2008 9:14 AM Missouri Botanical Garden & Affiliated Companies -- Version 1.4.2 -- Serenic Navigator User Guide October 2005 Document Status Level Description New – Pending Approval Any Purchase Order which has just been created or has been Type Purchase Order submitted for approval, but has not yet completed the approval process will be reflected on this line. If an order has been created and submitted for approval and it has not been addressed within a week, someone should look into it (hence the yellow coding in the 8-14 day time bucket) Purchase New – Partially Approved Order These orders have been reviewed in the approval process but have not completed the approval process. If they linger at this status for two weeks someone should be paying attention to them! Purchase Fully Approved – No Inv., No When an order is at this status level, the “ball is in the vendor’s Order Rcpt. court”. The vendor should have the PO in hand and be acting on it. At this status level, the vendor has not yet delivered any items, nor have they sent the company an invoice. Invoices that stay at this status level may be invoices that were cancelled with the vendor but never cancelled within Serenic, or they may simply be long lead time items. Purchase Partially Received, No Invoice Order These Purchase Invoices are ones that are in the process of being fulfilled by the vendor. They should not linger indefinitely at this status level. Purchase Fully Received, No Invoice Order The status level name is fairly descriptive. Orders that do not require receipts will be reflected as fully received upon creation of the order. Purchase Partially Received, Partially Orders at this level for too long should be reviewed to insure that Order Invoiced the order quantity is in fact backordered rather than cancelled. If the unsatisfied portion of the order is cancelled the order should be adjusted to reflect this fact. Purchase Fully Received, Partially This is likely a temporary stage as the vendor has their invoicing Order Invoiced process catch up with their item fulfillment process. Purchase Fully Received, Fully Invoiced Order Purchase At this status level, all transactions other than payment have occurred for the Order Order Complete & Paid All transactions including payment of the order are complete Purchase Invoice Received, Submitted For an invoice to be at this status level, it has been entered into Invoices to AP the software by the department users & has been submitted to Order AP, but has not yet been posted by AP. Purchase Invoice Posted by AP, but not Invoices at this status level are “aging” until their payment terms Invoice Paid dictate that payment should be made Purchase Invoice Paid Invoice This status level is similar to the Purchase Order status level of “Order Complete & Paid”, indicating that the accounting transactions are complete File: User Guide 20051205 Page 161 of 185 Last printed 2/8/2008 9:14 AM Missouri Botanical Garden & Affiliated Companies -- Version 1.4.2 -- Serenic Navigator User Guide October 2005 4.10. Miscellaneous Purchases & Payables “How To …” 4.10.1. Add a “Buy-From” address to a Vendor Periodically, Purchasing users will have the need to add a new “buy from” address to a vendor card. Recall that the “buy-from” address is independent of the “pay-to” (or “remitto”) address. Only members of the Controller’s Office are authorized to change the “payto” address for a vendor. However, because the buying community may have a routine need to add a buy-from address, the capability to create those addresses is more broadly available. To add a “buy-from” address, the user should navigate to the appropriate Vendor Card Æ click the Vendor button at the bottom of the page Æ select “Order Addresses” Æ click F5 to get a list of all Order Addresses (or “buy-from” addresses) currently available to the vendor. The list will look something like the screen shot below: The user should review the list of existing Order (or Buy-from) Addresses to see if the address that they intend to add is already in use for the vendor. If it is, there is no need to add the Order (or Buy-from) address. If the address is not available, and should be added, the user should note the next available code number for the vendor. In the screen shot provided above, Order addresses 01 through 07 currently exist. The next new address should be coded as “08”. File: User Guide 20051205 Page 162 of 185 Last printed 2/8/2008 9:14 AM Missouri Botanical Garden & Affiliated Companies -- Version 1.4.2 -- Serenic Navigator User Guide October 2005 In order to add the new address, the user should return to the vendor card Æ select the “Vendor” button Æ click the “Order Addresses” menu item. At that time they will be presented with an Order (or Buy-from) address card, as shown below: To add a new Order (or Buy-from) address card, the user should click F3 to get a new blank card. Recall that the new address is to be coded as “08”, so the user should insert that value in the Code field. The user should then complete the remaining fields as appropriate to their need and close out of the address card, using the “X” in the upper right corner. The user’s data entry will create the new Order (or Buy-from) address, as shown below: File: User Guide 20051205 Page 163 of 185 Last printed 2/8/2008 9:14 AM Missouri Botanical Garden & Affiliated Companies -- Version 1.4.2 -- Serenic Navigator User Guide October 2005 This newly added address instantly becomes one of the addresses available for use for that vendor, as shown in the list screen shot below: File: User Guide 20051205 Page 164 of 185 Last printed 2/8/2008 9:14 AM Missouri Botanical Garden & Affiliated Companies -- Version 1.4.2 -- Serenic Navigator User Guide October 2005 File: User Guide 20051205 Page 165 of 185 Last printed 2/8/2008 9:14 AM Missouri Botanical Garden & Affiliated Companies -- Version 1.4.2 -- Serenic Navigator User Guide October 2005 5. Sales & Receivables Detail to be provided later Consult the Serenic Navigator training documentation File: User Guide 20051205 Page 166 of 185 Last printed 2/8/2008 9:14 AM Missouri Botanical Garden & Affiliated Companies -- Version 1.4.2 -- Serenic Navigator User Guide October 2005 6. Fixed Assets Details to be provided later. Consult the Serenic Navigator training documentation File: User Guide 20051205 Page 167 of 185 Last printed 2/8/2008 9:14 AM Missouri Botanical Garden & Affiliated Companies -- Version 1.4.2 -- Serenic Navigator User Guide October 2005 7. Appendix File: User Guide 20051205 Page 168 of 185 Last printed 2/8/2008 9:14 AM Missouri Botanical Garden & Affiliated Companies -- Version 1.4.2 -- Serenic Navigator User Guide October 2005 Appendix A: Glossary of Terms – updated 1/8 Due to the variety of terms used in reference to the groupings of work for which accounting activities are performed, this document will attempt to follow this naming convention: “Project” – the most generic way to describe a grouping of work for which accounting is to be performed and reported. “Grant” – a specific form of a Project, characterized by the nature of the funding supporting the effort. Grants are the predominant form of Projects currently being worked on and accounted for by MBG. Grants have unique administrative requirements, as defined by the Grantor. Grants are always in Fund 02 of MBG’s accounting structure. “Special Deposit” – a specific form of a Project, originating from a restricted Gift to the Garden. “Contract” – a specific form of a Project, defined by the legal document which describes the working relationship established between MBG and the organization originating the legal document. “Event” – a specific form of a Project, composed of a group of related activities for which the Garden wants to track the associated costs. Events are managed as part of Fund 01. “Project Administrator (PA)” – this is the role that has been filled by <insert name> primarily, along with Cheryl Mill for some projects. In the future, this role may be filled by one or both of them, in either a “co-administrator” capacity, or in primary & backup capacities. The “Future State” portions of this document have been constructed to refer to the Project Administrator in a non-specific fashion, so that the split of responsibilities between the individuals can be determined in a way which is independent of defining the business process. “Principal Investigator (PI)” – the individual who is primarily responsible for undertaking the research or effort associated with a project (or grant). For the sake of MBG’s Project Accounting, the terms Project Manager and Principal Investigator will be used interchangeably. “TMA Administrator” – TMA is the computerized maintenance management system (CMMS) used by MBG for the maintenance of its facilities. The application is used primarily by the General Services Division of MBG. Susan Ciluffo is the TMA Administrator. File: User Guide 20051205 Page 169 of 185 Last printed 2/8/2008 9:14 AM Missouri Botanical Garden & Affiliated Companies -- Version 1.4.2 -- Serenic Navigator User Guide October 2005 Appendix B: GL Reporting “How to’s” 3 Basic Reports: Custom Trial Balance w/ Budget Report Custom Trial Balance Dtl/Summ Report Custom Trial Bal. Dtl w/ Payrl How do I … Generate the Custom Trial Balance w/ Budget Report ? 1st – Navigation: General Ledger Menu Æ Reports Æ Select “Custom Trial Balance w/ Budget” report Æ Print 2nd – Set Report Parameters or Filters: (as an example) Department Tab: “014” GL Account Tab: Date Filter: “060105..063005” Fund Filter: “01U” Options Tab: select “Round to … Pennies” Check: “Skip Accounts with All Zero Amounts” rd 3 – Preview and then Review, Print or redo How do I … Generate the Custom Trial Balance Dtl/Summ Report ? 1st – Navigation: General Ledger Menu Æ Reports Æ Select “Custom Trial Balance Dtl/Summ” report Æ Print 2nd – Set Report Parameters or Filters: (as an example) GL Account Combo’s Tab: Transaction Type = “Actual” Date Filter = “060105..063005” Fund No. = “01U” Department Code = “014” Options Tab: Select “Show … All Accounts” Print Transaction Detail (checked for detail, unchecked for summary) Print Source Names (checked for detail, unchecked for summary) rd 3 – Preview and then Review, Print or redo How do I … Generate the Custom Trial Bal Dtl w/Payrl Report ? 1st – Access to this report is limited. Not all users can generate the report 2nd – If you do have access, follow the steps for the Custom Trial Balance Dtl/Summ Report File: User Guide 20051205 Page 170 of 185 Last printed 2/8/2008 9:14 AM Missouri Botanical Garden & Affiliated Companies -- Version 1.4.2 -- Serenic Navigator User Guide October 2005 Appendix C: Project Report “How to’s” 6 Basic Reports: (any report can be run for any project) Projects w/o Budgets Projects w/ Budgets Project Summary Project Bdgt Var Summary Project Detail Project Bdgt Var. Detail Project Detail w/Pyrl Project Bdgt Var Detail w/ Payroll How do I … Generate the Project Summary Report ? 1st – Navigation: Projects Menu Æ Reports Æ Select “Project Summary” report Æ Print 2nd – Set Report Parameters or Filters: (as an example) Grant Tab: Date Filter: “060105..063005” Options Tab: leave all boxes unchecked rd 3 – Preview and then Review, Print or redo ( NOTE: This will result in the user generating all Project Summary reports for which they are a named recipient ) How do I … Generate the Project Bdgt Var Detail Report ? 1st – Navigation: Projects Menu Æ Reports Æ Select “Project Bdgt Var Detail ” report Æ Print 2nd – Set Report Parameters or Filters: (as an example) Grant Tab: Date Filter: “060105..063005” Options Tab: leave all boxes unchecked 3rd – Preview and then Review, Print or redo ( NOTE: This will result in the user generating all Project Bdgt Var Detail reports for which they are a named recipient ) How do I … Generate the Project Bdgt Var Detail w/ Payroll Report ? 1st – Access to the reports containing Payroll detail information is limited. 2nd – If you do have access to the reports containing payroll information, follow a procedure similar to the ones mentioned above to produce your reports File: User Guide 20051205 Page 171 of 185 Last printed 2/8/2008 9:14 AM Missouri Botanical Garden & Affiliated Companies -- Version 1.4.2 -- Serenic Navigator User Guide October 2005 Appendix D: Invoice without a Serenic PO “How to’s” Invoices are recorded in Serenic by the department users to: enable the electronic approval process, print labels for routing & to create traceability of the invoice from the department all the way through to payment. NOTE: Do not process Utility bills or Credit Card invoices using this procedure !! How do I … Record an Invoice without a Serenic PO: 1st – Navigation: Purchasing & Payables Menu Æ Invoice Receiving Æ select: “Invoice without Serenic PO” Æ click “OK” button 2nd – Complete the “header” information: No. Field – Tab out of this so that the system can automatically assign a number to the document Buy from Vendor No. field: Select the vendor of the invoice. If you can’t find it, try adding it to your vendor view listing. If the vendor is not in the vendor master, either process the invoice “the old way” using the stamp or contact the Controller’s Office to have the vendor added. Buy from Address Code field: You can select or create an alternative address if needed Requested for field: Add the user name associated with the Invoice (if desired) Invoice Received by field: Required field – typically the data entry persons userid Retail Only Information: These fields accommodate information used to process retail invoices 3rd – Complete the “line” information: note: you only need to have as many lines as there are unique accounting codes to be charged, so some summarization of detail is recommended, if needed. Enter all accounting information as needed. Bold Headings indicate required fields. Tab off the line to “fire” the validation rule processing. If there is a validation problem (wrong combination of account codes), a checkmark will appear in the “Val. Error” column. You can find out what the error is by highlighting the line and clicking the “Check Errors” button. If you can’t fix the validation error yourself, contact your management and/or the Controller’s Office to resolve validation errors. th 4 – Submit the “Order” for Review: (note: the Submit to AP button is unavailable) Click the “Submit “Order” for Review” button. Depending on your Division/Department’s budget checking and approval rules, the lines may change from a “New” status to an “Approval Pending” status or to an “Encumbered” status 5th – Submit to AP: (note: the Submit Order for Review button is unavailable) When the order is approved (all lines at an Encumbered status), you may submit the order/invoice to AP (accounts payable in the Controller’s Office). Clicking this button will make the invoice available to AP for editing, posting and eventually paying. This button also causes the label printer to print approval labels for the invoice for the transmittal to the Controller’s Office th 6 – Route the Paper PO for Approvals and Delivery to the Controller’s Office File: User Guide 20051205 Page 172 of 185 Last printed 2/8/2008 9:14 AM Missouri Botanical Garden & Affiliated Companies -- Version 1.4.2 -- Serenic Navigator User Guide October 2005 Appendix E: Creating Purchase Orders “How to’s” There are two basic kinds of Purchase Orders which can be created in Serenic Navigator: Serenic POs with Receipts and Serenic POs without Receipts. If the user chooses to create a Serenic PO with Receipts, then the accounting software will enforce controls which require that the receipt of the items ordered is noted in the system prior to payment for the goods. The Serenic PO without Receipts is a bit more “relaxed” from a controls standpoint and allows invoices to be processed on valid and approved PO’s without recording information about the receipt of the items ordered. How do I … Create a Serenic Purchase Order: 1st – Navigation: Purchasing & Payables Menu Æ Purchase Order 2nd – Complete the “header” information: No. Field – Tab out of this so that the system can automatically assign a number to the document Buy from Vendor No. field: Select the vendor of the invoice. If you can’t find it, try adding it to your vendor view listing. If the vendor is not in the vendor master, contact the Controller’s Office Buy from Address Code field: You can select or create an alternative address if needed Requested for field: Add the user name associated with the Purchase Order Deliver To Address Code field: Select the deliver to address to be printed on the PO SHIPPING TAB: If additional shipping information is required for the Order it can be entered in the fields on the shipping tab 3rd – Determine if Item Receiving will be required: The item receiving requirement is controlled by the user creating the PO. Requiring item receiving enforces additional controls within the Serenic Purchasing process. 4th – Complete the line information for the PO, including the accounting codes to be charged for the expense, a description of the items to be ordered and their exact or approximate costs. th 4 – Submit the Order for Review: Click the “Submit Order for Review” button. Depending on your Division/Department’s budget checking and approval rules, the lines may change from a “New” status to an “Approval Pending” status or to an “Encumbered” status 5th – After Approval is provided – communicate the order to the vendor When the order is approved all lines will be at an Encumbered status. You can also review the approval status on the PO List (F5 from the PO form) or on a PO form in the “No. of Approvals” field. After the order is approved, it can be printed for delivery to the vendor &/or for department record keeping NOTE: When creating a PO which requires Item Receiving, all lines on the PO will require Item Receiving in order to complete the transaction within Serenic. File: User Guide 20051205 Page 173 of 185 Last printed 2/8/2008 9:14 AM Missouri Botanical Garden & Affiliated Companies -- Version 1.4.2 -- Serenic Navigator User Guide October 2005 Appendix F: Item Receiving “How to’s” When a Purchase Order has been created which requires Item Receiving, the accounting software will prohibit the creation of an Invoice for more items than have been received. As an example, if IT orders 10 PCs for $1500 each & receives 6 of them, if the vendor invoices all 10 PCs, the software will prohibit the invoice for 10 PCs to be created. Partial receipts of orders and partial invoices (not exceeding the receipts) can be processed within the software. How do I … Create an Item Receipt for a Serenic Purchase Order: 1st – Navigation: Purchasing & Payables Menu Æ Item Receiving 2nd – Find the PO for which you wish to create the receipt by using the F5 key to generate a list of your POs requiring item receipts which have not yet been fully processed. Select the correct PO. 3rd – Enter the receipts on the PO Line: There is a button on the bottom of the form that allows the user to “Receive all UnReceived Items”. If the order is a simple one and all items are to be received, this button will facilitate the process of receiving and posting the receipt of items. Otherwise, examine each line of the PO and the quantity received and date of receipt for each item to be received. Partial receipts (e.g. Ordered 10, only received 6) are allowed & should be made if that is the circumstance of the receiving. Receiving more units than is currently “unreceived” is not allowed. After entering the receipt information, post the receipts by clicking the “Post Item Receipts” button. File: User Guide 20051205 Page 174 of 185 Last printed 2/8/2008 9:14 AM Missouri Botanical Garden & Affiliated Companies -- Version 1.4.2 -- Serenic Navigator User Guide October 2005 Appendix G: Receiving an invoice for a Serenic PO w/o receipts “How to’s” Invoices, based on Serenic POs are recorded in Serenic by the department users to: print labels for routing & to create traceability of the invoice from the department all the way through to payment. There is no Serenic-based approval process required for these invoices since the expenses associated with the invoice were approved as part of the Purchasing process. How do I … Record an Invoice for a Serenic PO without Receipts: 1st – Navigation: Purchasing & Payables Menu Æ Invoice Receiving Æ select: “Serenic POs without Receipts” Æ click “OK” button nd 2 – From the form, click the F5 key to generate a list of your Serenic POs eligible for this type of processing. Note: your Serenic POs with Receipts will not be on the list that is produced. Find the correct PO, corresponding to the Invoice. The order should have an “Approved” and “Not Submitted” status. If the order is not yet “Approved”, it must be reviewed and Approved prior to processing the invoice. Note: if you need to process an invoice on an order that is not yet approved, you violated the approval process with your buying practices! rd 3 – Once you have found the correct PO associated with the Invoice, with the header portion of the PO: Enter the “Invoice Received by” userid in the field in the header 4th – Enter the line level information about the Invoice: Complete the line level information associated with the invoice. The required fields have bold headings. Note that the invoice unit cost and ordered unit cost can be different, and frequently are different depending on the accuracy of the information used to create the order. NOTE: If the invoice contains a freight charge (or other charge) not originally created on the Purchase Order, do not attempt to enter the freight information on this form. The Accounts Payable function in the Controller’s Office will enter this information on your behalf when the invoice is processed. The accounting controls used within the software will not allow a user to enter an invoice value for an item that was not ordered (e.g. freight). The Controller’s Office Accounts Payable function has the controls permission to make this type of an adjustment. 5th – Submit to AP When the invoice information has been entered, click the “Submit to AP” button. Clicking this button will make the invoice available to AP for editing, posting and eventually paying. This button also causes the label printer to print approval labels for the invoice for the transmittal to the Controller’s Office 6th – Route the Paper PO for Approvals and Delivery to the Controller’s Office File: User Guide 20051205 Page 175 of 185 Last printed 2/8/2008 9:14 AM Missouri Botanical Garden & Affiliated Companies -- Version 1.4.2 -- Serenic Navigator User Guide October 2005 Appendix H: Receive an invoice for a Serenic PO with receipts “How to’s” Invoices, based on Serenic POs are recorded in Serenic by the department users to: print labels for routing & to create traceability of the invoice from the department all the way through to payment. There is no Serenic-based approval process required for these invoices since the expenses associated with the invoice were approved as part of the Purchasing process. How do I … Record an Invoice for a Serenic PO with Receipts: 1st – Navigation: Purchasing & Payables Menu Æ Invoice Receiving Æ select: “Serenic POs with Receipts” Æ click “OK” button nd 2 – From the form, click the F5 key to generate a list of your Serenic POs eligible for this type of processing. Note: your Serenic POs without Receipts will not be on the list that is produced. Find the correct PO, corresponding to the Invoice. The order should have an “Approved” and “Not Submitted” status. If the order is not yet “Approved”, it must be reviewed and Approved prior to processing the invoice. Note: if you need to process an invoice on an order that is not yet approved, you violated the approval process with your buying practices! rd 3 – Once you have found the correct PO associated with the Invoice, with the header portion of the PO: Click on the bolded “No. of Receipts” field to reveal the posted receipt lines. Complete the line level information associated with the invoice. The required fields have bold headings. Note that the invoice unit cost and ordered unit cost can be different, and frequently are different depending on the accuracy of the information used to create the order. NOTE: If the invoice contains a freight charge (or other charge) not originally created on the Purchase Order, do not attempt to enter the freight information on this form. The Accounts Payable function in the Controller’s Office will enter this information on your behalf when the invoice is processed. The accounting controls used within the software will not allow a user to enter an invoice value for an item that was not ordered (e.g. freight). The Controller’s Office Accounts Payable function has the controls permission to make this type of an adjustment. 4th – Submit to AP When the invoice information has been entered, click the “Submit to AP” button. Clicking this button will make the invoice available to AP for editing, posting and eventually paying. This button also causes the label printer to print approval labels for the invoice for the transmittal to the Controller’s Office NOTE: The user has the ability to “Unsubmit” this type of invoice, by line, if necessary (in order to make a correction). The user entering the Invoice information can only “UnSubmit” the line information if the AP Processing of the Invoice has not yet occurred. If a line or multiple lines are unsubmitted, they will need to be resubmitted, generating new labels, after the corrections have been made. 5th – Route the Paper PO for Approvals and Delivery to the Controller’s Office File: User Guide 20051205 Page 176 of 185 Last printed 2/8/2008 9:14 AM Missouri Botanical Garden & Affiliated Companies -- Version 1.4.2 -- Serenic Navigator User Guide October 2005 Appendix I: Approval Processing “How to’s” The Serenic Navigator accounting software enables some approval workflows for Purchasing related activities. By enabling the workflows, the software enforces a requirement for review and approval of the transactions based on the “Business Rules” which apply to the transaction. Business Rules are established on a Division by Division basis, but have some commonality across the Garden’s Operation. As an example, any line transaction greater than, or equal to $10,000 will require the review and approval of the Controller (Michael Olson). With the exception of the Garden-wide requirements, the budget review and approval processing business rules have been constructed to meet the needs of the operating divisions. Various members of the Garden’s management and accounting team have a role in the approval process. The workflow “engine” of Serenic Navigator, will notify these users when there is a transaction requiring their review. For some users, who are infrequent users of Serenic, an email notification can be enabled. The more frequent users of Serenic should regularly check their “Approval Inbox” to see if any transactions need to be processed. How do I … Review and Approve Transactions: 1st – Navigation: Main Menu Æ Approval Processing Æ confirm that you are looking at your “Inbox” in the drop down displayed in the upper left of the form 2nd – Determine if you have any transactions requiring review: If there are any transactions awaiting your review, they will be listed individually on the form. Transactions are reviewed at the “Line Level”, so a PO with multiple lines will generate multiple lines of required approvals. rd 3 – Review the lines awaiting your approval: Some summary level information is provided on the approval form. In some cases, that may be enough information for the user to determine to either approve or disapprove of the transaction. If more detail is required, the approver can view the original document by highlighting the line on the approval form and by clicking the “Functions” button Æ Review document. After reviewing the detail of the original document, the approver can close out the original document (using the X in the upper right) to return to the approval form th 4 – Conclude the approval process: The approver can indicate their decision in the “Decision” field, indicating either an “Approved” or “Disapproved” decision. After indicating the decision on the line, the approver must click the “Process..” button in order to finalize their decision and to have Serenic software “act” upon the decision. NOTE: An Approver can allow the line to remain “undecided” simply by not choosing a decision. This may allow the approver to do some investigation outside of the software in order to reach a decision. File: User Guide 20051205 Page 177 of 185 Last printed 2/8/2008 9:14 AM Missouri Botanical Garden & Affiliated Companies -- Version 1.4.2 -- Serenic Navigator User Guide October 2005 Appendix J: Reviewing vendor payment status “How to’s” Purchasing users may need to check on the status of a Vendor Payment on occasion. There are multiple ways to do this. How do I … Review the status of a Vendor Invoice Payment: 1st – Navigation: Purchases & Payables Menu Æ Vendors Æ find the desired Vendor Card Æ “Vendor” button Æ Ledger Entries 2nd – Visually review the vendor ledger: If there are a limited number of transactions for the vendor, it may be possible to find their invoice posting and the associated payment directly from the Vendor Ledger. If the Invoice is indicated as “Open”, then payment has not yet been made. If you are not able to find the Invoice, & you are sure you are looking at the correct vendor, then the Invoice may not yet be posted. 3rd – Use the system to associate invoice and payments: If you are able to find the vendor invoice, but are not sure of which payment satisfied the invoice, you can highlight the invoice line and click on the “Application” button Æ Applied entries, to display the payment and check number associated with closing the invoice File: User Guide 20051205 Page 178 of 185 Last printed 2/8/2008 9:14 AM Missouri Botanical Garden & Affiliated Companies -- Version 1.4.2 -- Serenic Navigator User Guide October 2005 Appendix K: User Setup Samples In order to setup a user in Serenic you must: Obtain (from IT) a userid and password for the SQL database Create the database login in Serenic Identify a User Group for the user – build a new one if necessary Identify a Menu for the user – build a new one if necessary Complete the user card, assigning User Group and MenuID Assign Permissions or Rights Assign Report Access Review data access rights as assigned to user group & confirm appropriateness Confirm / change budget rules to be used by the user’s organization Confirm approval rules to be used by the user’s organization Establish their vendor view if not yet setup (i) Sample Setup for Division Leads a. User Card: File: User Guide 20051205 Page 179 of 185 Last printed 2/8/2008 9:14 AM Missouri Botanical Garden & Affiliated Companies -- Version 1.4.2 -- Serenic Navigator User Guide October 2005 File: User Guide 20051205 Page 180 of 185 Last printed 2/8/2008 9:14 AM Missouri Botanical Garden & Affiliated Companies -- Version 1.4.2 -- Serenic Navigator User Guide October 2005 File: User Guide 20051205 Page 181 of 185 Last printed 2/8/2008 9:14 AM Missouri Botanical Garden & Affiliated Companies -- Version 1.4.2 -- Serenic Navigator User Guide October 2005 Report List: File: User Guide 20051205 Page 182 of 185 Last printed 2/8/2008 9:14 AM Missouri Botanical Garden & Affiliated Companies -- Version 1.4.2 -- Serenic Navigator User Guide October 2005 User Rights: File: User Guide 20051205 Page 183 of 185 Last printed 2/8/2008 9:14 AM Missouri Botanical Garden & Affiliated Companies -- Version 1.4.2 -- Serenic Navigator User Guide October 2005 Appendix L: How to Change the Account Codes on a Purchasing Transaction Serenic Purchase Order with Receipts Required Vendor Invoicing Receipts Create PO Line Submit for Approval Process Approval Send PO to Vendor PO PO Physical Receipt of Items Ship Items Receive & Post Items in Serenic Receive Invoice Send Invoice Inv Inv Submit Inv. to AP in Serenic Receive Inv Doc Inv Enter Invoice in Serenic Wait for Due Date Make Payment Receive Payment Send Payment Send Invoice Doc to AP Inv Change the Account Coding ? " Purchase Order Create Order Header Receive Purchase Order " How do I ... To change an account code on a PO line that you have already entered (Line Status = New), you need to: 1. Choose the account code segment on the line that you want to change 2. Enter the new value in the field 3. Confirm all the other required information on the line. The unit cost probably was reset to $0. 4. Tab off the line to get the validation rules to test your account code To change an account code on a PO line that you have submitted for Review (Line Status = Approval Pending), you need to (on the PO document): 1. Select the line you want to change (click left margin to highlight the entire line) 2. Click the Line button at the bottom of the form 3. Select "Reset Approvals" - the line status will revert to "New" 4. Choose the account code segment on the line that you want to change 5. Enter the new value in the field 6. Confirm all the other required information on the line. The unit cost probably was reset to $0. 7. Tab off the line to get the validation rules to test your account code 8. Submit the Order for Review To change an account code on a PO line that has been Approved and Encumbered (Line Status = Encumbered), you need to (on the PO document): 1. Select the line you want to change (click left margin to highlight the entire line) 2. Click the Line button at the bottom of the form 3. Select "Cancel" - the line status will change to "Cancelled" and the encumbrance for that account will be cleared 4. Select the next available line on the PO & enter the account coding and other information as desired. 5. Tab off the line to get the validation rules to test your account code 6. Submit the new line for Review To change an account code on a PO line that has been Sent to a Vendor (Line Status = Encumbered), you need to follow the same procedures as described above - for changing a PO Line that has been Approved and Encumbered. Recall that the account coding for the PO Lines is not relevant to the Vendor and probably has not even been communicated to them. Once the items on a PO Line have Posted Receipts in Serenic, there is no easy way to change the account coding for that purchase. If you realize that the accounting for the Purchase is incorrect & that the accounts encumbered by the purchase are not the accounts that will eventually be expensed, then you will need to mark-up the invoice when it arrives instructing AP to change the accounting. Until the invoice is processed by AP and the accounting is changed, the incorrect accounts will be encumbered by the purchase After receipts have been posted on a PO Line, the accounting corrections must occur only by Controller's Office personnel. If a Department Buyer recognizes that incorrect account codes have been used, as part of processing the receipt of the invoice they should print the invoice labels with the existing (& incorrect) coding. The Department Buyer should mark-up and highlight the need for AP to change the account coding. As part of entering the Invoice in AP, the Controller's Office personnel should: 1. Process the Invoice as is normally done, building the Invoice document in Serenic 2. Change the unit cost on the incorrect coding line to $0 - resulting in $0 being charged to the wrong account 3. Construct a new line on the invoice with the correct coding & pricing 4. This will result in the original and incorrect encumbrance being relieved and the new and correct account code being charged with the expense Any changes to the account coding required after the Invoice has been posted in Serenic will need to be completed by the Controller's Office personnel via a Journal Entry to transfer the expenses to the new account. File: User Guide 20051205 Page 184 of 185 Last printed 2/8/2008 9:14 AM Missouri Botanical Garden & Affiliated Companies -- Version 1.4.2 -- Serenic Navigator User Guide October 2005 Appendix M: Function Key Map This is the mapping of functions to function key available for use with Serenic Navigator, as a feature provided through Navision. F1 Ctrl F Key Shift F Key F KEY Toggle Mark F2 F3 Designer What is … AssistEdit HELP EDIT File: User Guide 20051205 INSERT NEW F4 F5 Close Entries DELETE Page 185 of 185 F6 Next Window Card Drill-down LIST LOOKUP F7 F8 F9 Table Filter Zoom Reconcile FlowFilter SortFilter F11 F12 Apply Post and Object Entries Print Designer FIELD COPY STATISTIC FILTER PREVIOUS S Last printed 2/8/2008 9:14 AM F10 MENU BAR POST MAIN MENU