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    P2P Reporting

    Updated 9.30.08

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    Table of Contents

    P2P Reporting Systems, Access and Output 3

    Importance of Procurement Dept Codes 4

    How to Generate P2P Reports 5 - 12Run Control IDInquiry

    P2P Reports and Tools

    Top Management Reports 14 - 20Transaction SummaryRequisition SummaryPO Expediting ReportPending Approvals SummaryMissing ReceiptsPO Status by Buyer

    Change Order Activity Reports 21 - 23PO Change OrderPO Details not Including Liens

    Department Activity Reports 24 - 29Req Status by RequesterReq Approval ActivityActive Reqs by RequesterReceipt Status by ReceiverProxy Approver Activity

    Reconciliation Process and Accounting Activity Reports 30 36Voucher Document StatusPO Details including LiensPO Accounting EntriesAsset ReceiptsRequisition Accounting EntriesRequisition Accounting Summary

    Vendor and Category Reports 37 - 40Vendor Activity

    PO by Vendor/CategoryVoucher Line SpendOther Tools 41 - 50

    Default Approvers and BuyersReceipts without VoucherActive Ship To AddressesPO P rintManual Sourcing AgingDocument StatusPO Activity SummaryInquiryPrint Requisition

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    P2P Reporting Systems, Access and Output

    P2P reports run in two different systems:

    PeopleSoft Production System System where P2P transaction activity occurs

    Includes reports that require up to the minute information

    PeopleSoft Reporting System Specially designed reporting system for generating large reports and reviewing many months

    of history without slowing down PeopleSoft Production System

    Includes reports with a historical focus

    Updated nightly from PeopleSoft Production System

    Same PeopleSoft User IDs and passwords as PeopleSoft Production System

    Access: Report access is based on a users P2P role(s). See reporting matrices todetermine access by role.

    Output:

    Dates: Reports with date parameters are limited to 3-month or 1-year periods at thistime so users may need to run multiple reports to capture all data.

    Export: Reports can be exported into Excel for further review and analysis or into PDFfor onscreen viewing or printing.

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    Importance of Procurement Dept Codes

    Procurement Dept Code is the driver for a majority of P2P reports. Users shouldbecome familiar with assigned Dept Codes prior to generating P2P reports.

    Procurement Dept Code is

    Assigned by the Department to every Requester during user set-up In most cases the Procurement Dept Code represents the Requesters homeHRDepartment Code but there may be exceptions.

    Attached to a transaction for its entire lifecycle A Requesters Procurement Dept Code is attached to every Requisition they enter in P2P,

    and can not be edited on a transaction basis.

    Once attached to a Requisition, the Procurement Dept Code follows the Requisitionthrough its lifecycle from Requisition to Purchase Order, Receipt, and Voucher.

    Used in reporting on Department activity Procurement Dept Code is passed into WebLinks and appears on the

    GL Transaction Detail to quickly identify P2P transactions. Procurement Dept Code is used for P2P Reports.

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    How To Generate P2P Reports

    P2P reports are generated in one of two ways, depending on thereport itself

    I. Run Control ID

    II. Inquiry

    Although reports appear differently, the main elements are the same.You tell the system the criteria (e.g., Dept Code) and the format (e.g.,Excel, PDF) for the information you need.

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    How to Generate P2P ReportsI. Run Control ID

    Step A: Create or Find existing Run Control ID

    Step B: Build Report Step C: Generate Standard Report

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    I. Run Control ID Step A: Create or Find existing Run Control ID

    A Run Control is simply a stored search that you name and save.

    Create a new Run Control ID: Find an existing Run Control ID:

    1. SelectAdd a New Value tab.2. Type a name of your choosing inRun Contro l

    ID.3. Click [Add] to add Run Control ID and open

    Report Request Parameters page.

    1. Select Find an Existing Value tab.2. Click [Search] to display all previously created Run

    Control IDs.3. Select specific Run Control ID from Search Results

    list to open Report Request Parameters page.

    1 1

    2

    2

    3

    3

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    I. Run Control ID Step B: Build Report

    From the Report Request Parameters page within your selected report

    1. Enter report criteria in select fields. Asterisk (*) indicates required fields; all other fields are optional.2. Select Output Type as Standard, Window (PDF) or Excel. NOTE: IfStandard is selected, see Step C.3. Click [Run] to build report. Processingmessage flashes in upper right corner of page. Report opens in new

    window.

    Important: Report may not open if popup blocker is installed. Configure popup blocker to allow files from PeopleSoft or use

    the Standard Output Type illustrated in Step C.

    1

    23

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    I. Run Control ID Step C: Generate Standard Report (Tasks 1-2 of 5)

    Use Standard Output Type if system popups are not allowed or when Output Type option is notoffered for a particular report.

    After you click [Run] to build reportand report opens in new window:

    1. Click the checkbox as shown.2. Click OK.

    1

    2

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    I. Run Control ID Step C: Generate Standard Report (Tasks 3-4 of 5)

    3. Click Report Managerlink.

    3

    44. ClickAdminist rat ion tab.

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    I. Run Control ID Step C: Generate Standard Report (Task 5 of 5)

    5. Locate your report on Report List, and click hyperlink to view. Important: When two reports with similar namesare listed together, select the report prefaced with Z.Example above, select ZPO ACTREQS Active Reqs by Requester.

    5

    When using the Standard output type, saved reports can be found under Reporting Tools > Report Manager.

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    How to Generate P2P ReportsII. Inquiry (Tasks 1-3)

    An Inquiry is typically the method for searching for a single transaction.

    1

    2

    1. Enter search criteria.2. Click Search. Results

    are displayed.3. Locate your transaction

    in Search Results, andclick hyperlink to view.

    3

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    P2P Reports and Tools

    Top Management Reports Top recommended reports for Department

    Managers to run on a regular basis

    Change Order Activity Reports Reports run by Department Buyers to

    review Change Order Activity

    Department Activity Reports Reports run by Managers to monitor

    workflow, workload and Department business processes

    Reconciliation Process and Accounting Activity Reports Reports run

    by Reconcilers/Financial Analysts to verify and reconcile purchases

    Vendor and Category Reports Reports to analyze spending by vendor

    and categories

    Other Tools Tools to review individual transactions, print and prepare for

    shipments

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    Top Management Reports

    Purpose: Top recommended reports for Department Managers to run on a regular basis.

    Report = Report name

    Navigation = Path to find report in P2P

    Type = Run Control (see Pages 5 12) or Inquiry

    Description = Report content

    Example Use = Reasons for generating report

    System = X indicates if report is available in PeopleSoft Production System or PeopleSoft Reporting System (see Page 3)

    User Access to Report = X indicates which roles have access to report; P indicates the user has access to the report only inPeopleSoft Production System though report is available in both systems

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    Transaction Summary

    Output Notes: Totals will not equal each other across transactions for a given time period. (Multiple POs can be generated for a

    single Requisition. Receipts may not be recorded in the same time period.)

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    Requisition Summary

    Output Notes: Report is generated at Requisition Line level.

    Requisition Name convention is key for this report. On PO = Y means Requisition has been converted into a PO. N means Requisition is not yet a PO.

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    PO Expediting Report

    Output Notes: Data is sorted by Requisition approval date. Dispatched = PO dispatched to Vendor; Dept contacts Vendor to check on shipment status. Partially Recv = Receipt has been recorded for some items on PO; Dept follows-up with Receiver and Vendor for

    remaining items. Pnd Appv = PO awaiting CPBC approval; Dept follows-up with CPBC. Sourcing = PO awaiting manual sourcing in CPBC; Dept follows-up with CPBC.

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    Pending Approvals Summary

    Output Notes: Click icon next to Approvers Name to view pending approvals for a specific Approver. This opens the Pending

    Approvals Details listing. Drill down into the Req Inqui ry page to find the Requisi tion Line Details.

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    Missing Receipts

    Output Notes: Lists POs with Voucher entered against them not yet received in P2P. Data is sorted by age from oldest to newest based on Voucher Entered Date. Receipts required for Vouchers with Invoices sent by Vendors electronically (i.e. EDI) do not appear on this report for

    5 days after processing to give Departments reasonable time to enter Receipts. Exception Owner = Requester who entered original Requisition; Dept follow-up with Requester to determine if goods

    have been received.

    SFABCTM Mack, Toby 123456 Department SFABCPAG

    SF660952 Duncan, Troy 123456 Departm ent SFABCPAG

    SFABCPKW Wimberly, Karen 123456 Department SFABCPAG

    SFABCPAH Hunter, Anthony 123456 Department SFABCPJB

    SFABCTM Mack, Toby 123456 Department SFABCPAG

    SFABCPA1 Donovan, Andrea 123456 Department SFABCPJB

    SFABCTM Mack, Toby 123456 Department SFABCPAG

    SFABCPKW Wimberly, Karen 123456 Department SFABCPAG

    09/22/2008

    UCSF

    123456 Department (including Child Dept Codes)

    00300007523-FISHER SCIENTIFIC

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    PO Status by Buyer

    Output Notes: Department Buyers and CPBC Buyers appear on this report. Open = PO created but not sourced. Pend = PO sourced but not approved by CPBC. Apprvd = PO approved but not dispatched to Vendor. Disp = PO dispatched to Vendor. Canc = PO cancelled. Closed = PO has been matched and closed. Change Ord = Number of change order processed by Buyer.

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    Change Order Activity Reports

    Purpose: Reports run by Department Buyers to review Change Order Activity.

    Report = Report name

    Navigation = Path to find report in P2PType = Run Control (see Pages 5 12) or Inquiry

    Description = Report content

    Example Use = Reasons for generating report

    System = X indicates if report is available in PeopleSoft Production System or PeopleSoft Reporting System (see Page 3)

    User Access to Report = X indicates which roles have access to report; P indicates the user has access to the report only in

    PeopleSoft Production System though report is available in both systems

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    PO Change Order

    Output Notes: Changes to a PO are displayed from oldest to newest. Change Order #= The number of the Change Order. 0 is used to represent the value on the original, non-changed

    PO. For example, Change Order 1 is the first Change Order, 2 the second and so on.

    Change Made By = Person who entered the change in P2P. Field = Field that has been updated. Note that Amount = total dollar amount of line while Price = unit price. Change Value = Value of changed field after change. When Change Order #= 0 this represents the original value.

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    PO Details not Including Liens

    Output Notes: Data is at the chartfield level. If a given PO line is split into multiple funds it will appear more than once on this report.

    However, the QTY will represent how much is being paid for with each fund and will sum to the total of the line. PO Status =

    Open = PO created but not sourced.Pending = PO sourced but not approved by CPBC.Approved = PO approved but not dispatched to Vendor.

    Dispatched = PO dispatched to Vendor.Cancelled = PO cancelled.Closed = PO has been matched and closed.

    Distribution Line StatusClosed = Specific distribution line (i.e. chartfield level) has been matched and closed.Open = PO is still an active document.Cancelled = Specific distribution line has been cancelled.

    Select Include Change Orders in search criteria to list POs that have been updated during selected date range. Select Include New Purchases in search criteria to list new POs that have been created during selected date range.

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    Department Activity Reports

    Purpose: Reports run by Managers to monitor workflow, workload and Department business processes.

    Report = Report name

    Navigation = Path to find report in P2PType = Run Control (see Pages 5 12) or Inquiry

    Description = Report content

    Example Use = Reasons for generating report

    System = X indicates if report is available in PeopleSoft Production System or PeopleSoft Reporting System (see Page 3)

    User Access to Report = X indicates which roles have access to report; P indicates the user has access to the report only in

    PeopleSoft Production System though report is available in both systems

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    Req Status by Requester

    Output Notes: Dollar amounts refer to Approved Requisitions only. App = Requisition approved. Open = Requisition not yet submitted for approval. Pend = Requisition awaiting approval by one or more Approvers. Den = Requisition denied by Approver. Canc = Requisition cancelled by Requester.

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    Req Approval Activity

    Output Notes: Shows all Approvers by type for the selected time period. Self Apprv = Self Approving Requesters Dept = Default Approvers Ad-Hoc = Ad Hoc Approvers Cntrl Sub = Controlled Substance Approvers Proxy = Proxy Approvers

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    Active Reqs by Requester

    Output Notes: Open = Requisitions have been saved but not submitted for approval. Best practice is to cancel open requisitions if they are not moving forward for approval.

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    Receipt Status by Receiver

    Output Notes: Closed receipts cannot be updated in P2P. A receipt is closed only when the related PO is Matched.

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    Proxy Approver Activity

    Output Notes: Report shows who should have approved the Requisition and who actually approved. Look for trends where either (1) approval times are short or (2) dollar amount is high. This may indicate an abuse of

    the Proxy Approver business process.

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    Reconciliation Process and Accounting

    Activity Reports

    Purpose: Reports run by Reconcilers/Financial Analysts to verify and reconcile purchases.

    Report =Report name

    Navigation =Path to find report in P2P

    Type =Run Control (see Pages 5 12) or InquiryDescription =Report content

    Example Use =Reasons for generating report

    System =X indicates if report is available in PeopleSoft Production System or PeopleSoft Reporting System (see Page 3)

    User Access to Report =X indicates which roles have access to report; P indicates the user has access to the report only in PeopleSoft ProductionSystem though report is available in both systems

    For more details on reconciling see:

    Verifying in P2P job aid: http://cpbc.ucsf.edu/files/Verifying_J ob_Aid_Final.pdfWebLinks GL Transaction Detail Rollup Template: http://acctg.ucsf.edu/OLFS/trainingarchives/jobaids.htm

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    Voucher Document Status

    Output Notes: Click Doc ID next to associated Document Type to view related PO, Receipt, Requisition, etc.

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    PO Details including Liens

    Output Notes: On search page, Remaining Amount =remaining amount of lien; search results will include all POs with liens equal to and greater than the

    Remaining Amount value specified.

    Liquidated Lien Amt is how much of original lien has been expensed. Data is at the chartfield level. If a given PO line is split into multiple funds it will appear more than once on this report. However, the QTY will

    represent how much is being paid for with each fund and will sumto the total of the line. PO Status =

    Open =PO created but not sourced.Pending =PO sourced but not approved by CPBC.Approved =PO approved but not dispatched to Vendor.Dispatched =PO dispatched to Vendor.Cancelled =PO cancelled.Closed =PO has been matched and closed.

    Distribution Line StatusClosed =Specific distribution line (i.e. chartfield level) has been matched and closed.

    Open =PO is still an active document.Cancelled =Specific distribution line has been cancelled.

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    PO Accounting Entries

    Output Notes: Under Trans Type column: PO_POENC = creation of lien; REVERSAL = liquidation of lien (Voucher ID listed in far

    right column) Information matches data in GL

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    Asset Receipts

    Output Notes: Asset details may not be fully populated if the Asset has not been processed by Capital Assets Management (CAM).

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    Requisition Accounting Entries

    Output Notes: Under Trans Type column: REQ_PREENC = pre-encumbrance accounting entry for the Requisition lien;

    REVERSAL = liquidation of the pre-encumbrance when the PO is created (PO ID listed in far right column) Information presented here is for reference only and does not create accounting entries that are visible on the GL

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    Requisition Accounting Summary

    Output Notes:

    Data is at the chartfield level. If a given Requisition line is split into multiple funds it will appear more than once on this report.However, the QTY will represent how much is being paid for with each fund and will sum to the total of the line.

    Requisition Status =Open =Requisition not yet submiited for approvalPending =Pending Approval.Approved = Requisition approved but not dispatched to Vendor.Cancelled =Requisition cancelled.Closed =Related PO has been matched and closed or cancelled.

    Distribution Line StatusClosed =Specific distribution line (i.e. chartfield level) has been matched and closed.Open =Requisition is still an active document.Cancelled =Specific distribution line has been cancelled.

    Sourcing StatusAvailable =Requisition is ready to be source to PO.Complete =Requisition has been sourced to PO.In-Progress =Requisition is in process of being sourced to PO.

    Error =Requisition has encountered errors in being source to PO.

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    Vendor and Category Reports

    Purpose: Reports to analyze spending by vendor and categories.

    Report = Report name

    Navigation = Path to find report in P2P

    Type = Run Control (see Pages 5 12) or Inquiry

    Description = Report content

    Example Use = Reasons for generating report

    System = X indicates if report is available in PeopleSoft Production System or PeopleSoft Reporting System (see Page 3)

    User Access to Report = X indicates which roles have access to report; P indicates the user has access to the report only inPeopleSoft Production System though report is available in both systems

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    Vendor Activity

    Output Notes:

    Non- Catalog refers to P2P orders placed via Special Requests.

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    PO by Vendor/Category

    Output Notes: CPBC column = P2P purchasing activity that required CPBC approval or sourcing (non fast-tracked POs).

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    Voucher Line Spend

    Output Notes: Report can be run in Summary (see example above) or in Detail (which shows Voucher level totals).

    Other Tools

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    Other Tools

    Purpose: Tools to review individual transactions, print and prepare for shipments.

    Report =Report name

    Navigation =Path to find report in P2P

    Type =Run Control (see Pages 5 12) or Inquiry

    Description =Report content

    Example Use =Reasons for generating report

    System =X indicates if report is available in PeopleSoft Production System or PeopleSoft Reporting System (see Page 3)

    User Access to Report =X indicates which roles have access to report; P indicates the user has access to the report only inPeopleSoft Production System though report is available in both systems

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    Default Approvers and Buyers

    Output Notes: Search Results can be viewed byRequesters or by Ship To Addresses.

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    Receipts without Voucher

    Output Notes: Report is sorted by Age: how many days have passed since Receiptwas recorded. For POs listed on report, it may be necessary to research to determine if Invoice has been paid but was not paid

    against correct PO, or follow-up with Vendor to find out why Invoice has not been received. Recv Qty and Acpt Qty always equal.

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    Active Ship To Addresses

    Output Notes: Addresses detail displayed is what is sent to Vendor on Purchase Order Use to develop cheat sheet of Ship To codes for ship to overrides (i.e. a Requester places a Requisition for an

    address other than their default).

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    PO Print

    Output Notes: See Inquiry for details on generating printout.

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    Manual Sourcing Aging

    Output Notes: Click icon next to Buyer Name to view Requisition sourcing details. Focus on the Non-Sourced aging details (i.e. Requisition not yet converted into PO) that appear in the three columns

    to the left of Not Sourced. Contact CPBC if sourcing is taking an excessive amount of time.

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    Document Status

    Output Notes: Example shown is Requisition Document Status. Click Doc ID next to associated Document Type to view related PO, Receipt, Voucher, etc.

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    PO Activity Summary

    Output Notes: Click on the report icon to view related details for a specific PO line item. Click on Receipt, Invoice or Matched tabs to view details related to the PO.

    I i

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    Inquiry

    Output Notes: Example shown is Purchase Order inquiry Click View Printable Version to create printable, unauthorized (i.e. not intended to be sent to Vendor) copy of PO.

    See I. Run Control ID Step C: Generate Standard Report (Task 5 of 5) for more details.

    P i t R i iti

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    Print Requisition

    Output Notes:

    See I. Run Control ID Step C: Generate Standard Report for details on generating printout.