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Administrator Guide
Last Updated: 2023-06-23
Steps: Create a Customer Refund

Steps: Create a Customer Refund

Configure the
Customer Refund Event
business process and security in the Customer Accounts functional area.
Customers can overpay their invoices for various reasons, such as an error or a change in transaction. Workday enables you to refund that amount.
Example: A customer pays for an invoice with no remittance advice. You put the payment on account. Later, when the customer cancels the order, you can use the on-account payment to process a refund.
To create refund for a payment, make sure that:
  • The payment either has a credit adjustment or has an amount on account.
  • A deposit exists for the on account payment.
  1. Determine whether you want to create the customer refund from On-Account Payments or Invoice Adjustments.
    Option Description
    On-Account Payments
    • Access the customer payment on the
      Invoices and Payments
      tab on the
      Customer
      profile.
    • Select
      Customer Payment
      Apply
      from the related actions menu of the payment and put it on-account by entering the amount in the
      Amount to Place On-Account
      field.
    Invoice Adjustments
    • Access the customer invoice on the
      Invoices and Payments
      tab on the customer profile.
    • Select
      Customer Invoice
      Create Adjustment
      from the related actions menu of the invoice.
  2. Access the
    Create Customer Refund
    task and select the customer you’re creating the refund for, including the currency, date, and payment type of the refund.
  3. Select the invoice adjustment or on-account payment for the refund.
    • To issue partial refunds, you can specify a
      Refund Amount
      that's greater than zero or less than the amount available to refund.
    • You can continue to create refunds from an on-account payment as long as there’s sufficient on-account balance.
    • Workday prevents you from selecting any on account payment when it's already part of a refund.
  4. Access the
    Create Settlement Run
    task to issue the refund.
    When you issue the outgoing payment check for the customer refund, the
    Remit-To Address
    report field uses the most recent effective-dated address of the customer contact where the
    Usage
    is
    Remit To
    . This report field doesn't consider the
    Primary Address
    flag when determining the address for the check.
The bank issues funds back to the customer.