USAS-R Preview Release Exercises
Exercises
Vendor
Create A vendor
Go to Vendor under Core
Click on
Let the Vendor # auto assign
Vendor Name = Sara's Training Service
Default Payment Type = electronic
1099 ID = 123-45-6789
1099 Type = Nonemployee compensation
Email address = glore@nwoca.org
Create a Default PO Location
Click on Create (under locations section)
Name 1 = Sara's Training Service
Address Line 1 = 123 NWOCA Drive
City = Archbold
State = OH
Zip = 43502
Phone = 419-267-2547
Check PO box
Create a Default 1099 Location
Click on Create
Name 1 = Sara Glore
Address Line 1 = 123 Sara Drive
City = Archbold
State = OH
Zip = 43502
Phone = 419-234-5678
Check 1099 Box
Click on Save
Vendor Search
In filter row type in 'Sara' under Primary Name
Click the X next to Sara in the Primary Name filter row
Find Active vendors
In filter row type in 'true' under Active
Click the X next to true in the Active filter row
Edit a Vendor
In filter row type '%Kitchen% under Primary Name
Click on
to edit Kuston Kitchen Kleaners
Change Default Payment Type to electronic
Click on Save
Distribution/Error Correction
Create a Distribution
Go to Distribution/Error Correction under Transaction
Click on
Let the number auto assign
Date = 09/01/2016
Description = Correcting Entry
Click on
to add line item
Description = correcting account
Amount = 100 (increasing expended by $100)
Account, start typing in 200 – select Student Council Expenses
Click on
to add line item
Description = correcting account
Amount = -100 (decreasing expended by $100)
Account, start typing in 200 – select S.A.D.D. Expenses
Click on Save
Role
Create a Role
Go to Role under Admin
Click on
ID = Student Activity Advisor
Description = Student Activity Advisor
Permissions
USAS_REQUISITION
USAS_VENDOR_REPORT & VIEW
Click on Save
Account Filter
Create an Account Filter
Go to Account Filters Under Admin
Click on
Filter = HS Student Council
Order = 1
TI = 00
Fund= 200
SCC = 9004
Check mark R and P (R=read, P= Pre-encumbrance)
Click on Save
User
Create a User
Go to User Under Admin
Click on
Username = NWOCA_SG
Name = Sara Glore
Title = HS Student Council Advisor
Email = glore@nwoca.org
Assigned Roles = Student Activity Advisor
Filters = HS Student Council
Click on Save
Receipts
Create a Receipt
Go to Receipts under Transaction
Click on Create
Receipt # = Let it Auto Assign
Receipt Date = 09/09/2016
Received from = Betty Crocker
Description = Cafeteria Receipts
Click on +
Amount = 238.32
Type = Receipt
Description = Student Type a Lunch
Account = 006 1512 0000 000000 000
Click on +
Amount = 6.45
Type = Receipt
Description = Student Milk
Account = 006 1514 0000 000000 000
Validate
Post
Refunds
Create a Refund with check
Go to Refunds under Transaction
Click on Create
Refund # = Auto Assign
Refund Date = 09/08/2016
Create a check = Yes
Check # = Auto Assign
Check Date = 09/08/2016
Vendor # = 1113 Jack Jones
Click on +
Amount = 10.50
Description = Over payment class fees
Account = 001 1740 0000 00000 002
Validate
Post
Check number states 0 – physical check number is assigned when printed
Print Refund Check
Go to Disbursements under Transaction
In filter row type 'Jack' under Primary Name
Check box beside Jack Jones' Refund
Click on Print Batch
Output type = pdf
Start number = leave blank to auto assign physical check number
Click on Print
Requisitions
Create a Requisition without a vendor
Go to Requisitions under Transaction
Click on Create
Requisition # = TEST0022
Vendor = do not add one
Requested PO Date = 09/21/2016
Deliver to Vendor # = 1000
Attention = Mr. Principal
Click on +
Qty = 3
Price = 7.89
Description = Toner Cartridge Black
Account = 001 2421 512 0000 000000 001 00 000
Click on +
Qty = 1
Price = 33.95
Description = Toner Cartridge Magenta
Account = 001 2421 512 0000 000000 001 00 000
Click on +
Qty = 1
Price = 7.99
Description = Shipping
Account = 001 2421 512 0000 000000 001 00 000
Click Validate
Click Post
Create a Requisition without an account code
Click on Create
Requisition # = TEST0023
Vendor # = 2005
Requested PO Date = 09/21/2016
Deliver to Vendor # = 1000
Attention = Mrs. Treasurer
Click on +
Qty = 1
Price = 256.30
Description = Computer Table #4349
Account – leave blank
Click Validate
Click Post
Convert a Requisition
Go to Requisitions under Transaction
Search for Requisition with a date between 09/01/2016 and 09/30/2016
Sort by Date
Click on Requisition #TEST0022
Click on Convert
Add vendor = #2000, Office Max
Click Validate
Click Post
Mass Convert Requisitions
Go to Requisition under Transaction
Search for Requisition with a date between 09/01/2016 and 09/30/2016 and that has not been converted
Check box beside TEST0021, TEST0014 and TEST0015
Click on Convert
Starting PO Number – Auto assign
PO Date = Requisition Date
Click on continue
Shows summary of converted requisitions and PO #
Click on Print
Output Type = PDF
Click Print beside the output type
Click Return to Query Page
Purchase Order
Create a Purchase Order that is non-vendor specific
Go to Purchase Order under Transaction
Click on
PO # - Auto Assign
Date = 09/01/2016
Vendor = Leave Blank
Delivery Address = Sampleville City Schools, 389 Maple Lane, Sampleville, OH
Attention = Mrs. Café
Click on +
Qty = 1
Description = Dishwasher Repair
Unit Price = 34.57
Charge = 006 3120 423 0000 000000 000 00 000 – Equipment Repair
Click on Save
Create a Purchase Order with Split Items
Click on
PO# = Auto Assign
Date = 09/01/2016
Vendor = %Office% - choose Office Max
Delivery Address = Sampleville City Schools, 389 Maple Lane, Sampleville, OH
Attention = Mr. Smith
Click on +
Qty = 30
Description = Reading books
Unit Price = 10
Click on
to split Quantity
Qty = 15
Unit Price = 10
Account = 001 1132 520 0000 0000000 003 05 000
(use hyphens between dimensions)
Click on +
Qty = 15
Unit Price = 10
Account = 001 1132 520 0000 000000 003 06 000
(use hyphens between dimensions)
Click on Accept
Close pop up box
Click on +
Qty = 1
Description = Printer
Unit Price = 75
Click on
to split Price
Qty = 1
Unit Price = 25
Account = 001 2421 512 0000 000000 001 00 000
(use hyphens between dimensions)
Click on +
Qty = 1
Unit Price = 50
Account = 001 2421 512 0000 000000 002 00 000
(use hyphens between dimensions)
Click on Accept
Close pop up box
Click on Save
Modify a Purchase Order
In filter row type in '09/01/2016' under Date
In filter row type in 'true' under Invoiceable
Click on PO# in filter row to sort by PO#
Click on
beside 2900017
Clear out vendor – type in % S
Choose 2007 – S & F Bus Parts
Click on Save
AP Invoice
Create an invoice for a non-vendor specific PO
Go to AP Invoices from Transaction
PO # = 2900045
Click on Invoice
Invoice # = 12-3456
Vendor # - 2003 Kuston Kitchen Cleaners
Invoice Date = 09/10/2016
Payment Due Date = 09/10/2016
Amount = 5.69
Status – partial
Validate
Post
Invoice Listing
Go to Detail under Report
Choose InvoiceItem
Check mark the following:
Amount
Outstanding
Expand Account – full account code
Expand Invoice - number
expand source – purchaseOrderNumber
expand vendor – primary name
Click Next
Sort by Vendor: Primary Name =1
Control Break
Sum Invoiceitem Amount
Click Next
Filter by Primary Name = COMPUTER RESOURCE CENTER
Click Next
Format – PDF
Letter
Portrait
Click Generate Report
Payables
Go to Payables under Transaction
Click Vendor tab
Verify COMPUTER RESOURCE CENTER to InvoiceItem Report
Check mark the box beside COMPUTER RESOURCE CENTER
Click Post Selected
Disbursement Date = 09/15/2016
Grouping options = Vendor
Sorting options = Vendor Number
Bank Account = 1- Default Bank Account
Click on Post
Click Print
Check Mark desired disbursements
Click Print Batch
Output Type = PDF
Start Number = leave blank to auto assign
Click on Print
Uncheck mark Physical check # 5016 for Computer Resource center
Disbursement
Reconcile
Go to Disbursement under Transaction
In the filter row type 'Dunham' in the Primary Name
Check Mark all
Click on Reconcile
Reconcile date= 09/30/2016
Click Reconcile
Uncheck mark all
Unreconcile
X out the text in 'Primary Name' in the filter row
In the filter row type 'Reconciled' in the Status
Check Mark physical check # 5013
Click on unreconciled
Void
X out the text in 'Status' in the filter row
In the filter row type '5012' in physical check number
Check Mark physical check # 5012
Click on Void
Void Date = 09/30/2016
Check Mark Void invoice Items
Click on confirm
Uncheck mark physical check #5012
Resequence
X out the text in 'Physical Check #' in the filter row
Click on Resequence
Original Start Number = 5015
Original End Number = 5015
New Start Number = 5017
Validate
Close the informational box
Post
Close the informational box
Close the resequence pop up
Report
Create a similar report to BUDSUM, REVSUM and FINSUMM
Go to Detail under Report
See Classic USAS Report page handouts