Reimburse employees¶
After an expense report is posted to an accounting journal, the next step is to reimburse the employee. Just like approving and posting expenses, employees can be reimbursed in two ways: with cash, check, or direct deposit (individually or in bulk), or reimbursed in a payslip.
Definições¶
Reimbursements can be paid via paycheck, check, cash, or bank transfer. To set up payment options, first configure the various settings by navigating to
.To reimburse employees for expenses in their paychecks, tick the checkbox beside the Reimburse in Payslip option in the Expenses section.
Next, set how payments are made in the Accounting section. Click the drop-down menu under Payment Methods, and select the desired payment option. Default options include paying by Manual (Cash), Checks (Bank), NACHA (Bank), and others. Leaving this field blank allows for all available payment options to be used.
When all desired configurations are complete, click Save to activate the settings.
Reimburse individually¶
To reimburse an individual expense report, first navigate to
. All expense reports are presented in a default list view. Click on the expense report being reimbursed to view the report details.Importante
Only expense reports with a status of Posted can be reimbursed.
Click the Register Payment button in the top-left corner of the expense report, and a Register Payment pop-up window appears. Enter the following information in the pop-up window:
Journal: Select the accounting journal to post the payment to using the drop-down menu. The default options are Bank or Cash.
Payment Method: Select how the payment is made using the drop-down menu. If Cash is selected for the Journal, the only option available is Manual. If Bank is selected for the Journal, the default options are Manual or Checks.
Recipient Bank Account: Select the employee’s bank account the payment is being sent to. If the employee has a bank account on file in the Private Information tab of their employee form in the Employees app, that bank account populates this field, by default.
Amount: The total amount being reimbursed populates this field, by default. The currency, located to the right of the field, can be modified using the drop-down menu.
Payment Date: Enter the date the payments are issued in this field. The current date populates this field, by default.
Memo: The text entered in the Expense Report Summary field of the expense report populates this field, by default.
When the fields of the pop-up window are completed, click the Create Payment button to register the payment, and reimburse the employee.
Reimburse in bulk¶
To reimburse multiple expense reports at once, navigate to STATUS filters on the left side to only present expense reports with a status of Posted.
to view all expense reports in a list view. Next, adjust theDica
Adjusting the STATUS filters to only show Posted expense reports is not necessary, but removes the step of selecting each individual report in the list.
Tick the checkbox next to the Employee column title to select all the reports in the list. Once ticked, the number of selected expense reports appears at the top of the page ((#) Selected). Additionally, a Register Payment button also appears in the upper-left corner.
Click the Register Payment button, and a Register Payment pop-up window appears. Enter the following information in the pop-up window:
Journal: Select the accounting journal the payment should be posted to, using the drop-down menu. The default options are Bank or Cash.
Payment Method: Select how the payment is made using the drop-down menu. If Cash is selected for the Journal, the only option available is Manual. If Bank is selected for the Journal, the default options are Manual or Checks.
Group Payments: When multiple expense reports are selected for the same employee, this option appears. Tick the checkbox to have only one payment made, rather than issuing multiple payments to the same employee.
Payment Date: Enter the date the payments are issued. The current date populates this field, by default.
When the fields on the pop-up window are completed, click the Create Payments button to register the payments, and reimburse the employees.
Report in next payslip¶
If the Reimburse in Payslip option is activated on the Settings page, payments can be added to their next payslip, instead of issued manually.
Importante
Reimbursing expenses on payslips can only be done individually, on an expense report with a status of Approved. Once an expense report has a status of Posted, the option to reimburse in the following payslip does not appear.
Navigate to Report in Next Payslip smart button, and the expenses are added to the next payslip issued for that employee. Additionally, a message is logged in the chatter stating the expense is added to the following payslip.
, and click on the individual expense report being reimbursed on the following paycheck. Click theThe status for the expense report remains Approved. The status only changes to Posted (and then Done), when the paycheck is processed.
Veja também
Refer to the Payslips documentation for more information about processing paychecks.