Automatic Supplier Invoice Accruals

With this solution, it becomes possible to accrue supplier invoices immediately upon posting. The accrual is based on the values entered at the invoice line-item level. At the end of the month, a run is executed to allocate the associated costs to the correct period.

Overview

Work more efficiently with accruals directly from supplier invoice entry

With this app, you can eliminate many of the manual steps associated with accruing supplier invoices. Additionally, the solution helps allocate costs to the correct period while still allowing the invoice to follow the default approval process.

Enjoy easy reconciliation with included reports specially made for this solution

With the added report, it is easy to verify that the balances for G/L accounts associated with accruals are correct. The report also ensures that credit memos display the correct values and allows for easy interpretation of what remains to be accrued.

Reduce the risk of manual errors in accruals through automated processes

In the SAP Business ByDesign standard process for managing supplier invoice accruals, the manual process for creating recurring journal entry vouchers can easily be forgotten and is prone to human error. By minimizing the number of manual steps needed, the associated risks are reduced.

Details

Solution Type

Extensions and Add-ons

Industry

Cross-Industry

Compatibility

Works with

This product is compatible with or enhances the functionality of these SAP solutions but doesn't require them.

SAP Business ByDesign

Features

Accrue Supplier Invoices

The app adds fields to the supplier invoice entry screen, enabling you to enter all necessary information about how the invoice should be accrued and which period the costs relate to. It also provides a clear link between the accrual and the invoice, allowing easy tracing and improved transparency.

Accrue Supplier Invoices
Executing the Periodization run for posting the costs each month.

At the end of the month, the supplier invoice accrual app provides a run that ensures costs are accrued and posted in the correct period. This job can be run manually or scheduled, eliminating the need to perform manual steps during the monthly closing.

Executing the Periodization run for posting the costs each month.
Report for reconciliation

The package includes two reports that enable quick and easy reconciliation of G/L account balances, ensuring the open amounts correspond with what’s left to accrue. An additional report displaying future costs for each upcoming month is also included.

Report for reconciliation

Plans and pricing

Supplier Invoice Accruals

Installation

User training with comprehensive training materials

Technical support

Updates and future enhancements

Includes 1 Tenant
Per Month
EUR 350.00
  • + EUR 3900.00 Setup Fee
  • Minimum contract 1 year
  • Has prerequisite
  • See all pricing details

Installation

User training with comprehensive training materials

Technical support

Updates and future enhancements

Includes 1 Tenant