Concept: Supplier Invoices
Create Supplier Invoices
Use the
Supplier Invoice Workbench
to create invoices that
record purchase events and create liability. Supplier invoices use data that you
enter or defaults from a purchase order, receipt, timesheet, task log, supplier
contract, or customer invoice. Invoices reflect the receipt of goods or acknowledge
services provided, unless you pay for them in advance. Prepaid supplier invoices
enable you to amortize spend in accounting periods that occur before the periods
that you receive the goods or services on the invoice. You can also create a supplier invoice:
- Manually.
- By copying an existing supplier invoice.
Manage Supplier Invoices
Manage supplier invoices after submitting them for approval:
Option | Description |
|---|---|
Cancel | Cancel any unpaid invoices and invoice adjustments. |
Change | Change an invoice or adjustment after you submit it but
before it's paid. To disable changes to supplier invoices or
adjustments related to a closed accounting ledger period,
select the Disallow Change to Operational
Transactions in Closed Periods check box on
the Edit Company Accounting Details
task.You can change specific fields on unpaid
approved supplier invoices without triggering the reapproval
process using these tasks that are secured to the
Process: Supplier Invoice - Mass Action
domain:
The
Mass Change Approved Supplier
Invoices task enables you to change these
fields:
|
Correct | Finance Administrators can correct the supplier invoice after
it's submitted.
You
can use the Correct Supplier Invoice task
to change details such as the prepaid amortization type on
invoices.To disable corrections to
supplier invoices or invoice adjustments related to a closed
accounting ledger period, select the Disallow
Change to Operational Transactions in Closed
Periods check box on the Edit
Company Accounting Details task. |
Review | Route the supplier invoice for review by adding a review step
to the Supplier Invoice Event business process. Enable
changes to the supplier invoice during the approval
step. |
Approve | Route the supplier invoice for approval by adding an approval
step to the Supplier Invoice Event business process.You
can approve or send back invoices without making changes to
invoices. |
Revise | Revise is available when you send back the supplier invoices
from review or approval. |
Hold | Make the invoice unavailable for payment. |
Rescind | Restore all Workday data to the state it was in before you
created the invoice. Rescind is an internal process that you
can't set up. However, you can view it on the invoice Process
History tab when the Supplier Invoice Event business process
restarts after you change an invoice that was already in
progress. |
Consider that you can't submit
supplier invoices for processing on these tasks when they include prepaid lines or a
billable project worktag:
- Change Supplier Invoice
- Correct Supplier Invoice
- Edit Supplier Invoice
- Review Supplier Invoice
- Revise Supplier Invoice
You can create an invoice adjustment to change the liability. Usually you decrease
the liability, which is a credit memo adjustment. Often, suppliers issue credit
memos for returns, damaged merchandise, and price adjustments. You can also adjust
an invoice to increase the liability by creating a debit memo adjustment.
When you create a supplier invoice adjustment from a return to a supplier,
Workday:
- Creates allocations back to the original Procurement document.
- Updates the balances of the quantity to invoice and receive on the purchase order or contract.
Pay Suppliers
To pay an invoice or an ad hoc payment, use the Workday settlements
infrastructure.
If you don't have an invoice from the supplier, create an ad hoc payment instead.
Before starting the payment process, you can control which payments to make:
Task | Description or Prerequisite |
|---|---|
Hold from Payment
| Make a supplier invoice or adjustment unavailable for
payment. Available as a related action from an invoice. |
Allow Payment
| To enable payments for invoices previously held from payment,
remove the hold. Available as a related action from an
invoice. |
Create Ad Hoc Payment
| Create a payment item for your supplier if you don't have an
invoice. |
Supplier Matching
To ensure that you can invoice what you order or receive, Workday supports supplier
matching. You can configure match condition rules to enable 3-way or 2-way matching.
You can also configure match exception reasons, route match exceptions and match
overrides for approval.
IRS 1099 MISC and 1096 Data
View 1099 MISC payments before printing forms using the
1099 MISC
Report
report and drilling into the Total
Amount
column. First set up:- 1099 MISC categories.
- Suppliers as 1099 MISC supplier.
Companies with 250 or more 1099 suppliers must file electronically with IRS. The
Generate 1099 MISC Electronic Filing
task creates an
electronic file to load IRS reporting to the IRS site. You can file forms for
multiple companies using single transmitter.To view data for your IRS 1096 forms before you print it, create a 1099 MISC print
run.
Negative and Zero-Cost Invoices
You can create negative and zero-cost supplier invoices from purchase orders and
receipts. However, you can't create negative or zero-cost supplier invoice
adjustments.
Consider that negative invoices don't support:
- Retention, but you can manually adjust retention on the original supplier invoice.
- Accounting for invoices that include inventory items.
You can also generate negative supplier invoices or submit negative installments when
you create schedules and generate installments from a supplier contract.
To prevent your users from creating negative or zero-cost supplier invoices, you can
add a custom validation to the
Create Supplier Invoice
task.Financial Accounting
With Workday transactions, the operational transaction is separate
from the accounting. You can complete an operational transaction even if the
accounts set up are in error, or Workday can't find an open period. This process is
transparent to the operational user.
Therefore, if you enter a supplier invoice in a closed period, Workday looks for an
open period to enter the transaction. Workday can still process the invoice and make
the payment.
If Workday can't find an open period, then it generates a transaction accounting
error. An accountant can fix these errors by opening a period and using the
Fix Operational Journals With Errors
task to reprocess
the accounting into an open period.