직원에게 환급하기

After an expense report is posted to an accounting journal, the next step is to reimburse the employee. Employees can be reimbursed via cash, check, or direct deposit in three ways:

  • Individually: Each individual expense report is reimbursed separately.

  • In bulk: Multiple expense reports are reimbursed in a single payment.

  • In the employee’s payslip: Expense reports are reimbursed directly in the employee’s payslip.

환급 설정

Reimbursements can be paid via a paycheck, check, cash, or bank transfer (usually referred to as direct deposit). To set up payment options, first configure the various settings by navigating to Expenses app ‣ Configuration ‣ Settings.

직원의 경비를 급여 로 환급받으려면 경비 섹션에서 급여 명세서로 상환 옆에 있는 확인란에 표시합니다.

Next, set how payments are made in the Accounting section. Click the drop-down menu under Payment Methods, and select the desired payment option. The default options include paying by Manual Payment (Cash), Manual Payment (Bank), Batch Deposit (Bank), and Checks (Bank).

Leaving this field blank allows for all available payment options to be used.

환경설정을 모두 완료한 후 저장 을 클릭하면 설정이 활성화됩니다.

Reimburse in payslips

If the Reimburse in Payslip option is activated on the settings page, payments can be added to the employee’s next payslip, instead of issuing separate payments.

중요

Reimbursing expenses on payslips can only be done individually for an approved expense report. Once an expense report has a status of Posted, the option to reimburse in the following payslip is not available.

Navigate to Expenses app ‣ Expense Reports, and click on the individual expense report to reimburse on the following paycheck. Click the Report in Next Payslip button, and the expenses are added to the next payslip issued for that employee.

지출결의 보고서 상태가 승인됨으로 표시되면 다음 번 급여 명세서에 보고 버튼이 표시됩니다.

Once the expense report is added to the following payslip, a message is logged in the chatter stating Expense report (expense report name) will be added to the next payslip. The status for the expense report remains Approved. The status only changes to Posted (and then Done), when the related payslip is processed.

더 보기

급여 지급 업무에 대한 자세한 내용은 급여명세서 문서를 참조하세요.

한 건씩 환급하기

지출결의서를 한 건씩 환급하려면 먼저 경비 앱 ‣ 지출결의서 로 이동합니다. 모든 지출결의서는 기본 목록 보기로 표시됩니다. 환급될 지출결의서를 클릭하면 결의서의 세부 내용을 확인할 수 있습니다.

중요

Only expense reports with a status of Posted can be reimbursed directly to the employee (not via a payslip).

Click the Pay button in the top-left corner of the expense report, and a Pay pop-up window loads. Enter the following information in the pop-up window:

  • Journal: Select the accounting journal to post the payment 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 Payment. If Bank is selected for the Journal, the default options are Manual Payment or Checks.

  • Recipient Bank Account: This field only appears if the Journal is set to Bank. The employee’s bank account populates this field, by default. If the employee has more than one trusted bank account on their employee profile, use the drop-down menu to select the desired bank account.

  • Amount: The total amount being reimbursed populates this field, by default.

  • Payment Date: Enter the date the payment is issued in this field. The current date populates this field, by default.

  • 메모: 지출결의서에 있는 지출결의서 요약 에 입력되어 있는 텍스트가 기본값으로 입력됩니다.

개별 지출결의서에 대하여 환급을 할 수 있도록 작성되어 있는 결제 등록 팝업 창

When the fields of the pop-up window are completed, click the Create Payment button to register the payment, and reimburse the employee. A green In Payment banner now appears on the expense report.

일괄 환급하기

To reimburse multiple expense reports at once, navigate to Expenses app ‣ Expense Reports to view all expense reports in a list view. Next, select the expense reports to be reimbursed.

중요

Only expense reports with a status of Posted can be reimbursed directly to the employee (not via a payslip).

Adjust the STATUS filter on the left side to only show Posted expense reports. This displays only expense reports that are able to be reimbursed.

Tick the checkbox next to the expense reports being reimbursed, then click the Pay button, and a Pay pop-up window loads. Enter the following information in the pop-up window:

  • Journal: Select the accounting journal to post the payment 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 Payment. If Bank is selected for the Journal, the default options are Manual Payment 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 per employee, rather than issuing multiple payments to the same employee.

  • Amount: The total amount being reimbursed for all the expense reports populates this field, by default.

  • 지급일: 지급 결의가 된 날짜를 입력합니다. 기본값으로 현재 날짜가 입력되어 있습니다.

When the fields on the Pay pop-up window are completed, click the Create Payments button to register the payments, and reimburse the employees.

The pay pop-up window filled out for multiple reimbursements via checks.