Tasks to be completed when creating an operating procedure (from creation to publication)

  1. Enter the Title of the procedure.
  2. Add the following Labels Labels
  3. Fill all fields as described
  4. Once the procedure is completed, publish it using the PtP Procure to Pay approval workflow

 

Table of contents 

By default the table of contents displays Heading 1 & Heading 2 (other levels can be added)

1.Objective and Scope

1.1 Objective of this Procedure

1.2 Scope

2. Reference Documents

3. Definitions

4. Introduction

5. Table of administrators

6. Verification of expense report received

6.1 Audit of the report

6.2 Understanding the information available on the file

7. Posting of expenses in PF1

7.1 How to check existence of multiple bank accounts

7.2 Posting of expenses in PF1

 7.2.1 Manually

 7.2.2 With reference

7.3 See all posted documents


8. Lodge Card usage



Scope


1. Remove the icon(s) when not applicable

   

2. Add countries when the procedure is for a specific country (optional)

ERP


3. Remove the icon(s) when not applicable

 

References


4. Add the link to SAP procedures (when it exists)

Attachments


5. Add the link to attachments (to be stored in AODocs or GDrive) or external links  

Objective and Scope

Describe the objective of the procedure & detail the scope when needed (legal entitites etc.)

Definitions should be added in the PtP - Glossary 

Title 1

Main content of the procedure

1.Objective and Scope

1.1 Objective of this Procedure

The purpose of this procedure is to explain how to pay Solvay Administrators. BOD members are not inserted in the HR database as they are not Solvay employees. For this reason they can not have access to T&E official tool - Concur - which obtains information automatically from the HR system. Upon confronted with this situation, a different process involves this population.

1.2 Scope

The scope of the Solvay Administrators process contains members of the Board of Directors, Executive Committee and Corporate Secretary.


2. Reference Documents

Record file - Used to keep record of information such as administrators expenses, SAP posting documents.

Expenses submission form - Used by users to request expenses reimbursement.

Relevant information - Includes list of included members in this procedure and accounting information

Lodge card statements - Extracts  of XLS and PDF statements


3. Definitions

PF1 - SAP scope for Solvay entity

EMEA - Europe, Middle East and Africa

PTP - Procure to Pay

T&E - Travel & Expenses

Company code - The code we use to refer to companies

BOD - Board of directors

HR - Human Resources

AP - Accounts Payable





4. Introduction

The Solvay Administrators do not have access to Concur (T&E) tool and therefore they are responsible for sending their expense reports via Freshdesk ticket The Service Center team will then be responsible to treat the ticket by posting the sent expense report in SAP - PF1.

Lodge card used by members of this process is also monitored by the T&E team.


5. Table of administrators

The old and new list of members for this process is available in this file.


6. Verification of expense report received

6.1 Vendor creation

Before submitting expense reports a vendor account (99********) needs to be created in PF1.


The request has to be made by the corresponding department, via Freshdesk ticket, and it should be transferred to the PTP Data & Analysis Department.

6.2 Audit of the report

The expense reports are received as Freshdesk ticket through an authorized person (check the administrators list to confirm who should send).


The request should be sent with the respective form (with the amounts to be reimbursed, vendor, cost assignment, reason for this charges, etc) and the corresponding receipts, that needs to be checked according with the Audit Rules (4.3.2).


Example:


The goal is that all values reported to us match with the receipts attached.

If not we need to ask the secretary to provide us the correct receipt.

6.3 Understanding the information available on the file

The expense submission file is divided in order to allow us to distinguish the meaning of each field and the content inside.


Nº Créditeur divers - Employee number

NOM et PRENOM - First and last name

Statut - Status

DEPARTEMENT - Department

OBJET DE LA MISSION - Business purpose



SOCIETE - Company information

IMPUTATION - Cost center or Order number



Under the information above mentioned, you will find each expense type available and the G/L account to which it belongs to.



For each receipt, user will fill the date of expense on the left column and add the amount under the correct expense type.


For example a flight of 1038.12€ on the day 23.02.2018 will be shown as below:



This means that each cell is an expense and has a receipt associated (exception of expense types which do not require receipt - 5.2.2 Audit rules).


At the end of each row, the total amount per day is available:



And at the end of all expenses you will find the total amount of the expense report:


7. Posting of expenses in PF1

7.1 Vendor account

7.1.1 Display information

Before starting with the procedure we always need to verify if there are more than one bank account associated to the master data, otherwise the payment can be blocked in CICC.

Transaction: FK03


  1. Introduce the Vendor and Company Code 0001:


  1. Check all the boxes with the icon below:


Preview:

To check for bank account information, inside the vendor, flip the page twice:


If the person has more than one bank account, and if inside the Freshdesk ticket the secretary did not inform which one should be used, we stop the process and request this information.


If there is no account created we need to inform the secretary that she needs to request the creation of bank account details and payment terms to the email: payment.securityprocess@solvay.com

7.1.2 Choose the correct bank account for posting

Before finishing the posting, enter the first line (negative) and choose “More data”:


Flip page and in the field “Part. Bank” select the correct account by clicking twice.


And, finally, select the correct bank account:

To go back, upon selection, click the mountain icon.

7.2 Posting of the expenses

To perform postings we have two options: manually or by using a reference.

The difference between both is that, by posting manually, we will start a complete new posting document while, by posting with reference, it facilitates the process by using the information on a previous posting of the same employee where we simply change the necessary details.

7.2.1 Manually

We will use the information present on the expenses submission file - Understanding the information available on the file.


We can use the guideline for manual postings document as a base, however some information differs for this procedure:


  1. Information required:

  • Type: Q0

  • Company code: 0001

  • Reference: CASE #(number of ticket)

  • Doc.Header Text: Admin Expense report



At the bottom we start from the credit line item which is the total amount of the expense claim (where to find - understanding the information available on the file).


PstKy: Is what differentiates credit from debit (40=debit ; 34=credit)

Account:

  • 40 - Complete with the G/L account

  • 34 - Complete with the employee’s number


Example using the information below:



Credit information: 34 + employee number


This line item will have the total amount spent which for this example was 2474.64€:



  • Bline date: Posting date

  • Assignment: Expense report

  • Text: Business purpose (OBJET DE LA MISSION)


NOTE: The Pmnt Block field needs to be empty.


Preview:


At the bottom we will start introducing each line of expenses available in the excel file.

If any doubt remains on how to read the information please move to “Understanding the information available on the file”.


For the credits we will use Posting Key (PStKy) 40 with the G/L account.

Instead uploading a line for each expense, we will sum the expenses that have the same expense type and add that amount for each line.


1038.12€ + 1038.12€ = 2076.24€


We will then create a posting line of 2076.24€ for the G/L of flight/train expenses (since these are included in the same G/L):



Information to be introduced:


Keep repeating the steps for each expense type until there are no credits left.

To see the overall view click on the mountain icon:


Example:


If the document is well constructed the final amount (at the bottom) will be 0,00 and if that is the case we can complete the posting by selecting the save icon as seen below.


NOTE: If you haven’t check if the user has more than two bank accounts please move to 7.1 Vendor account step.



If it is not 0,00 then there are two things we need to check:

  1. Errors inside each line

  2. Lines missing or in excess


To edit the lines simply double click on top of it and it will reopen the edit mode for that line in specific. When finished, proceed to select the mountain icon once more to check if the final amount is 0,00 or not.


Once you complete the posting at the end of the SAP page you will find the document number (to copy, double click on top of it and it will open a new window with the number of the posting).


7.2.2 With reference

Transaction: FB01 - Post with reference (FBR2 for direct access to posting with reference)


  1. Choose the “Post with reference” option:

 


  1. In the record file, search for a document from a previous posting of the same person:


  1. Complete with the document number, the Company Code 0001 and year:

 


  1. Change the dates, period and the ticket number:

  • Document/Posting date: Day of posting (today)

  • Period: Month of posting

  • Reference: CASE #(new ticket received)


  1. Click ENTER on your keyboard through the rest until the final view appears:


By using a past document as reference we will have all the expenses submitted before in a new document. We will then update the information in accordance with the new expense report.


To update each line, double click on top of it.


For the first line (negative - PK 34) total amount of the report:


We will change the following information:

Amount: Total amount of the report

Bline Date: Day of posting (today)

Text: Business purpose (Understanding the information available on the file)


To conclude the changes on this line and go back to the overview of the report select the mountain icon:


For the other lines (positive - PK 40) each one is an expense type (not a single expense - we sum the expenses that have the same expense type and introduce only the total):


  1. When inside, check if the order in the excel file matches the document:

 


  1. Copy the Amount of the first expense type by summing all of the expenses below it:


 Example below:

130.90€ + 137.80€ = 268.70€








  1. Change the Text for the Mission objective (business purpose) and the Value date to the day of posting (today).


To conclude the changes on this line and go back to the overview of the report select the mountain icon:


This has to be done for each expense type in each document line.


  • If you have more lines in your document than in the excel file, change the amount of the excess lines to 0 and it will lose effect.

  • If you have less lines in your document than in the excel file, at the bottom of the overall view there is a field where you can create more; simply use the same PstKy (40) and choose the G/L Account from the excel file (understanding the information available on the file), then click ENTER on your keyboard and you will then be able to complete information to create a new line item:

Overview:


NOTE: At the end of the overview page check if the total amount is 0,00 otherwise something in the document is missing and has to be corrected (mismatch of amounts, missing expense, etc):

To finish the posting simply save by clicking the icon below:



Once posted, at the end of the SAP page you will see a notification with the Document Number, copy it and add it to the Record File.

7.3 See all posted documents

SAP keeps a record of all the documents posted.

To see the ones posted for the Administrators process:


SAP system: PF1

Transaction: FB03



By choosing company code 0001 and year, you will have an extraction of all postings made (for that company and for that year).

You can add other information to help you find a certain document such as the date.


To only see documents posted by you, at the end select the “Own documents only” option:


Proceed to run the transaction with this information:


Result:


To filter only the Administrators, select the reference column and in the filter write *CASE*


 


Result:


8. Corporate Card usage

8.1 Citi card

BOD members do not have Citi corporate credit cards.

8.2 Lodge card

For this process a Lodge card account was opened: 5534220250080049

The G/L account for the lodge expenses is: 6141200000 (validated by RtR)

Board of directors default cost center -  SM16200120 (same cost center for all members validated by RtR)


No transactions will be integrated in Concur and no statements will be integrated in SAP.


For this reason, the T&E team will extract XLS and PDF statements, add to the google drive folder on a monthly basis and notify AP team. The AP team will then download the XLS, post and pay the statement.


They are able to book the trips using the lodge card if they call the travel agency

These expenses are not reimbursed.

If user pays the trips with personal card, then will submit everything for reimbursement.





*to add*

All lodge is added to Mrs. Isabelle Cosaert - TRAVEL