Using Entry Events in PeopleSoft Payables

This chapter provides an overview of entry events in PeopleSoft Payables and discusses how to generate accounts payable entry events.

Click to jump to parent topicUnderstanding Entry Events in PeopleSoft Payables

Entry events are the short-hand codes used to post pro-forma accounting entries to the general ledger with minimal input from the end user. These codes are used across all modules for all documents and derive their accounting entries from a central table.

Entry event codes enable applications to create standard accounting entries automatically based on accounting lines generated by document posting routines. Users assign an entry event code to a transaction distribution line when they create a document. The FS_EVENTGEN Application Engine process, also called the Entry Event Generator, generates additional standard accounting entries based on the entry event code that users entered.

After enabling entry events, users may assign entry event codes to distribution lines for accounts payable transactions. Entry event processes and entry event process steps are predefined and delivered with the system. You define appropriate entry events to specify the debits and credits necessary for each business scenario.

You can run the FS_EVENTGEN process in conjunction with the Voucher Posting Application Engine process (AP_PSTVCHR), the Payment Posting Application Engine process (AP_PSTPYMNT), and the Cash Clearing Application Engine process (AP_APCSHCLR) by selecting the Initiate Entry Event Generator check box on the run control pages for these processes. You can also use the Voucher Entry Event request page, the Payment Entry Event request page, and the Cash Clearing Entry Event request page to run the Entry Event Generator process separately.

See Also

Using Entry Events

Click to jump to top of pageClick to jump to parent topicUpward and Downward Adjustment Entry Event Entries for PeopleSoft Payables Transactions Subject to Commitment Control

PeopleSoft Payables uses entry events to generate separate budgetary debit and credit entries for upward and downward adjustments to purchase orders and vouchers that are processed after funding has expired.

Note. To generate upward and downward adjustment entries for vouchers that have been posted and then finalized or partialized, you must run the FS_EVENTGEN process separately from the Voucher Posting process, that is, you must run it from the Voucher Entry Event request page.

See Using Entry Event Codes for Upward and Downward Adjustments.

Click to jump to parent topicGenerating Accounts Payable Entry Events

This section discusses how to:

Click to jump to top of pageClick to jump to parent topicPages Used to Generate Accounts Payable Entry Events

Page Name

Definition Name

Navigation

Usage

Voucher Entry Event

PST_EE_RUN_REQUEST

Accounts Payable, Batch Processes, Vouchers, Voucher Entry Event

Request a run of the FS_EVENTGEN process to generate entry event accounting entries for vouchers, payments, and cash clearing, respectively.

Payment Entry Event

PST_EE_RUN_REQUEST

Accounts Payable, Batch Processes, Payment, Payment Entry Event

Request a run of the FS_EVENTGEN process to generate entry event accounting entries for vouchers, payments, and cash clearing, respectively.

Cash Clearing Entry Event

PST_EE_RUN_REQUEST

Accounts Payable, Batch Processes, Payment, Cash Clearing Entry Event

Request a run of the FS_EVENTGEN process to generate entry event accounting entries for vouchers, payments, and cash clearing, respectively.

Voucher Posting Request

PST_VCHR_RQST

Accounts Payable, Batch Processes, Vouchers, Voucher Posting

Request a run of the Voucher Posting Application Engine process (AP_PSTVCHR). You can generate entry events by selecting the Initiate Entry Event Generator option.

Payment Posting Request

PST_PYMNT_RQST

Accounts Payable, Batch Processes, Payment, Payment Posting

Request a run of the Payment Posting Application Engine process (AP_PSTPYMT). You can generate entry events by selecting the Initiate Entry Event Generator option.

Cash Clearing Request

CASH_CLRG_REQUEST

Accounts Payable, Batch Processes, Payment, Cash Clearing

Request a run of the Cash Clearing Application Engine process (AP_APCSHCLR). You can generate entry events by selecting the Initiate Entry Event Generator option.

Click to jump to top of pageClick to jump to parent topicGenerating Voucher Entry Events

Access the Voucher Entry Event page (Accounts Payable, Batch Processes, Vouchers, Voucher Entry Event).

Entry Event Process

Select Voucher Accrual to process voucher entries.

Process Option

Select one of the following:

All Business Units: Process all voucher entries for all business units.

Business Unit: Process the vouchers in a specific business unit. The Business Unit field in the Selection Criteria group box becomes available for entry.

Document: Process the voucher entries for a specific voucher. The Business Unit and Document fields in the Selection Criteria group box becomes available for entry.

Selection Criteria

The fields available in this group box depend on the process option you select.

Business Unit

Enter a business unit whose vouchers you want to generate entry events. This field is available if you selected a process option of Business Unit or Document.

Document

Enter a voucher ID for a voucher you want to generate entry events. This field is available if you selected a process option of Document. You must also enter a business unit.

Click to jump to top of pageClick to jump to parent topicGenerating Payment Entry Events

Access the Payment Entry Event page (Accounts Payable, Batch Processes, Payment, Payment Entry Event).

Entry Event Process

Select Payments to process payment entries.

Process Option

Select one of the following:

All Banks: Process all entries for all banks.

Bank Account: Process entries for one bank account. The bank account fields in the Selection Criteria group box become available for entry.

Payment: Process entries for a particular payment. The bank account fields and the Payment Reference field in the Selection Criteria group box become available for entry.

Selection Criteria

The fields available in this group box depend upon the process option you select.

SetID, Bank Code, and Bank Account

Enter a bank setID, bank code, and bank account. These fields are available if you selected a process option of Bank Account or Payment.

Payment Reference

Enter a payment reference (such as a check number). This field is available if you selected a process option of Payment.You must also enter the bank account fields.

Click to jump to top of pageClick to jump to parent topicGenerating Cash Clearing Entry Events

Access the Cash Clearing Entry Event page (Accounts Payable, Batch Processes, Payment, Cash Clearing Entry Event).

Entry Event Process

Select Cash Clearing to process cash clearing entries.

Process Option

Select All Reconciled Payments to process all reconciled payments.

There are no selection criteria available for generating cash clearing entry events.

Click to jump to parent topicDrilling Down to Entry Event Journal Lines

This section provides an overview of how to drill down from journal lines and discusses how to link the PeopleSoft Payables entry event Journal Drill Down page with accounting entry definitions.

Click to jump to top of pageClick to jump to parent topicUnderstanding How to Drill Down from Journal Lines

You can view source transactions for PeopleSoft Payables accounting entries from journal lines in PeopleSoft General Ledger for both standard and entry event journals. You search for journals in the Journal Inquiry component (JOURNAL_INQUIRY) and drill down to source transactions for individual journal lines. The page that you access is based upon the selections that you made on the Accounting Entry Definition page.

You can also review source transactions for entry event journals directly from the menu in PeopleSoft Payables.

Before you can view source transactions for a journal entry in PeopleSoft General Ledger, you must specify the exact type of information that you want to drill down to from the Journal Inquiry component. To do so, you link a drill down page with each accounting entry definition for which you generate journals.

See Also

Reviewing Journal Detail for a General Ledger Journal

Viewing Journal Information

Click to jump to top of pageClick to jump to parent topicPages Used to Drill Down to Entry Event Journal Lines

Page Name

Definition Name

Navigation

Usage

Accounting Entry Definition

JRNL_GEN_ACCTG_DEF

General Ledger, Journals, Subsystem Journals, Accounting Entry Definition

Identify the drill down pages for each accounting entry definition that the Journal Generator process (FS_JGEN) uses to general journal for PeopleSoft Payables.

Journal Inquiry

INQ_JRNL_CRITERIA

General Ledger, Review Financial Information, Journals, Journal Inquiry Criteria

Enter search criteria to retrieve a list of journals.

Journal Inquiry Details

INQ_JRNL_HDR_DTL

Click a journal ID on the Journal Inquiry page.

View journal lines for a journal and drill down to the source transactions in PeopleSoft Payables.

Journal Drill Down

EE_VCH_DRILL

Accounts Payable, Review Accounts Payable Info, Vouchers, EE Journal Entry Drill Down, Journal Drill Down

Review the accounting entries for PeopleSoft Payables items for entry event journals.

Click to jump to top of pageClick to jump to parent topicLinking the PeopleSoft Payables Entry Event Journal Drill Down Page with Accounting Entry Definitions

To link the PeopleSoft Payables entry event Journal Drill Down page with the accounting entry definition:

  1. Access the Accounting Entry Definition page (General Ledger, Journals, Subsystem Journals, Accounting Entry Definition).

  2. Select EGAPDEFN (entry event payables definition) as the accounting definition name.

  3. In the Page Name field, select EE_VCH_DRILL (AP voucher payment drillback) for the PeopleSoft Payables entry event Journal Drill Down page.

  4. Select the Cross Product Drill Down check box.

See Also

Defining Accounting Entries