This article describes the linear process from an invoice entering Vantaca to being paid out of Vantaca.
- Invoices land in Vantaca via manually creating an Invoice action item or an email hitting an Invoice@ email that flows in to Vantaca.
- OCR will attempt to parse information from the Invoice image.
- AP will code the invoice based on the attachment.
- AP steps it to the Manager to code if needed.
- If the invoice is completely coded, it will check to see if this invoice has already been paid, if not, it will land with the Manager for their Approval - Accounting>Approve Invoice
- The Managers approval will send it forward to the Board (If indicated via the Association>Settings)
- After all approvals are submitted, it will land with AP Pay for payment - Accounting>Pay Invoices
- AP marks the selected invoice to be paid.
- If Pay Type = Check or In Office Check - a check will be sent the Mailroom > Check Queue.
- If Pay Type = ACH - an ACH File will be passed from Vantaca to the integrated Bank. (**Only if the Service Provider ACH Details have been entered - Service Provider>Payment Method)
- If Pay Type = Auto Draft - No Check or ACH will be issued, the expense and payment will be recorded.
- Mailroom > Check Queue to cut any checks in house.
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