Vistex Chargeback /IRM/IPALLMENU

Similar documents
PA STATE SYSTEM OF HIGHER EDUCATION Shared Administrative System TM Travel Management Process for Advances

Blackbaud Merchant Services TM Portal Features Overview Transaction Management Through the Blackbaud Merchant Services Web Portal

GAS (SWITCHING ARRANGEMENTS) RULES 2008

Martin Ullmann. Maximizing SAP. ERP Financials Accounts Payable. Bonn Boston

CLARK COUNTY SCHOOL DISTRICT

esa-p EXTENDED GUIDE How to SUBMIT and APPROVE an Advance Payment Request

Key Business Questions (tied to the key business questions from the primary Fusion navigation page)

McGILL UNIVERSITY PROCUREMENT CARD POLICIES AND PROCEDURES

Prophet 21 Acclaim Preparing Your System for Payables Processing

Brandon s Cabinet Shop

Creditors / Suppliers

Office of Chief of Operations State Procurement Card Program Guidelines- Office of Procurement

X-Charge Credit Card Processing

Activant Prophet 21 Overview of Prophet 21 version 11 New Features: Accounting

Prepared by S. N. Padhi, ACA Reviewed by: Experienced Consultants

Managing Sales Programs:

Oracle 1Z Oracle Fusion Financials 11g Accounts Payable Essentials. Download Full Version :

Propertyware epayments. Powered by RealPage

PASS4TEST. IT Certification Guaranteed, The Easy Way! We offer free update service for one year

CitiDirect WorldLink Payment Services

Training Manual of Payee Management

Welcome to the period end closing topic.

How To Guide X3 Bank Card Processing Sage Exchange

Introduction to Client Online

Advisor Proposal Generator. Getting Started

CMS Web User s Guide. Nasdaq Nordic. Version:

Tellus EVV Claims Portal TRAINING REFERENCE GUIDE

FI_200 Financial Overview Student Guide

Protecting Profit Margins Through

1Z z0-517 Oracle EBS R12.1 Payables Essentials Version 24.5

AR324: Maintaining and Updating Receivables. Instructor Led Training

University of Arkansas at Monticello Procurement Card (P-Card) Program Policies and Guidelines Manual

Infor LN Financials User Guide for Accounts Receivable

Oracle R12 Accounts Receivable

PURCHASING CARD MANUAL

Wells Fargo Payment Manager for Eclipse. Release 9.0.3

Web Benefits Admin User Guide

CitiDirect Online Banking. Citi Trade Portal. User Guide for: Trade Loan

AiM User Guide Capital Planning and Project Management (CPPM) System

Oracle Financials Cloud Implementing Receivables Credit to Cash

Munis General Ledger. Procedural Documentation. For more information, visit

Integrating Payment Channels: Integrated Receivables. March 24, 2015

FOR USE FROM APRIL 2019

Arkansas Tech University Procurement Card (P-Card) Program Policies and Guidelines Manual

Bloomsburg University of Pennsylvania PA State System of Higher Education Purchasing Card Program Procedures

Store Credit Magento Extension User Guide Official extension page: Store Credit

How to Enter a Contract and/or Contract Change Order

US Merchandise AP Visibility User Guide and FAQ

If an employee has the high deductible plan coverage, and they lose their job, is this plan eligible for COBRA continuation?

Benefit Reconciliation. User s Guide. GeorgiaFIRST

Microsoft Dynamics GP. Collection and Payment Methods - Withholds

Tender No. SPL Dated26/05/2018

60.3 Perform Collections and Aging

Monthly Statement and Custom Statement Report Specification

Factoring Guide. Invoice Finance

Activant Prophet 21. Cash and Bank Reconciliation

Sircon Producer Lifecycle Management (Producer Manager /Producer Express )

Avalara Tax Connect version 2017

FI310 Umoja Budget Implementation. Umoja Budget Implementation Version 40

1z0-962.exam. Oracle. 1z Oracle Financials Cloud: Receivables 2017 Implementation Essentials. Version 1.

Oracle. Financials Cloud Implementing Receivables Credit to Cash. Release 13 (update 17D)

ALEMBIC PHARMACEUTICALS, INC. INDEPENDENT AUDITOR'S REPORT AND FINANCIAL STATEMENTS MARCH 31, 2017

Administrative Procedure CHAPTER 6 BUSINESS AND FINANCIAL SERVICES. AP District Cashiering, Collections, and Deposits

Accounting on the Web Training. Accessing Financial Information Web ISRS Accounting Module

MERCHANT CHARGEBACK GUIDE. How to manage Inquiries and Upfront Chargebacks

XII. Reconciling Monthly Statements

Policy and PCM Setup User Guide

Oracle. SCM Cloud Using Fiscal Document Capture. Release 13 (update 17B)

EGMS. Enterprise Grants Management System. Vendor Training. Craig Beske Financial Operations Division

Reconcilers & Verifiers Manual

Exact Globe Next Cash Flow. User Guide

Eclipse Accounting Setup. Release (Eterm)

4.9 PRINTING LENDING FORMS

State of California Purchase Card CAL-Card OVERVIEW

CRF Deduction Survey Results of 2012 Customer Deduction Survey. Jessica Butler Principal Attain Consulting Group

Oracle 1Z Oracle Fusion Financials 11g Accounts Receivable Essentials.

Oracle Fusion Applications Order Fulfillment, Receivables, Payments, Cash, and Collections Guide. 11g Release 1 (11.1.2) Part Number E

Bank Reconciliation Processing SYSTEM ADMINISTRATION AND PROCESSING GUIDE. Last revised: 8/19/10 12:22 PM

Microsoft Dynamics GP Payable Management. Series GP 2018

Department of Defense Travel Card Guide

RESOLV CONTAINER MANAGEMENT DESKTOP

Unit 3: Managing Lending ILL Requests

Inflation Accounting HELP.CAINTINFLATION. Release 4.6C

The Newest Certifytools 1z0-335 Dumps! 100% Pass Guarantee! (165 Q&As) Oracle. Exam Questions 1z0-335

mysap ERP 2004: Learning Map for Public Sector Consultants

CAPITAL PROJECT MANAGEMENT

Microsoft Dynamics NAV Prepayments. Prepayments Supportability White Paper

Corporate Loan Origination Oracle FLEXCUBE Universal Banking Release [April] [2014] Oracle Part Number E

Claims Packaging Tool Servicer Support User Manual Version 1.0 Effective Date : 07/11/2018

Reimbursable Project Walkthru

60.2 Deposit and Apply Receipts

Epicor Tax Connect for Eclipse. Release 9.0.3

How to Enter a Contract and/or Contract Change Order

This module explains the setup of the General Ledger and of the Accounting Periods. Lessons

Associated Connect. Reference Guide: Quick Payments

[1] Searching for a purchase order you wish to raise a credit note for:

EMPLOYER MANUAL AND PAYMENT SCHEDULING TABLE OF CONTENTS REPORTING ROLES ASSOCIATED WITH CONTRIBUTION CONFIRMATION AND PAYMENT SCHEDULING 1

SHRAQ*Islamic Finance SHRAQ*Islamic Finance SHRAQ SHRAQ*Islamic Finance SHRAQ*Islamic Finance facilitates the following: Legal Entities Management:

Oracle Fusion Applications Order Fulfillment, Receivables, Payments, Cash, and Collections Guide. 11g Release 7 (11.1.7) Part Number E

Financial Systems Date version: 7 July 2011

Transcription:

Vistex Chargeback /IRM/IPALLMENU

Definition of Chargeback Chargeback is a claimed amount that a manufacturer pays a distributor for goods/services sold by him according to a mutual agreement between them. The Chargeback process would help the distributors to sell their merchandise for a lower value and retrieve the difference between his acquisition cost and the customer sales price. Thus he would set up an agreement with the manufacturer to determine the pricing and settlement parameters for the products.

Benefits of the Chargeback Application The IP module provides distributors with tools required to administer, track and reconcile the claims filed with the manufacturers. Efficient management of Chargeback claims has the following benefits: Reduces Dispute handling costs for Chargeback's. Reduces Days-Chargeback-Outstanding. Increases cash flow. Reduces manual effort and number of adjustments. Helps the senior executives to concentrate on reaching business goals rather than expend their time on cumbersome processes.

Chargeback Process

Chargeback Lifecycle Repricing Accrual Parking Settlement Reconciliation Chargeback lifecycle is not dependent on it s source document once Chargeback agreement is created.

Source Documents of Chargeback

Source Documents of Chargeback The information which is derived from these source documents is: General information about the sale (Sales Org., Distr. Channel, Div., Company Code etc.). All parties involved in the sales transaction (Partners). The product pricing for the distributor (Cost price and Selling price). Basic Material Information (Quantity, Rate, Currency, Unit).

Chargeback creation based on Partner Roles with proper agreements

Chargeback creation based on Partner role w/o agreement

Why Partner Roles are important to create Chargeback Document Chargeback process will only take place with a manufacturer only if there exists a valid agreement between the parties for at least one item in the source document. The Chargeback document sent to a particular manufacturer would only contain those items that belong to the sale as well as to an agreement between the manufacturer and distributor. Slide 6. If there is no agreement between the parties, then the question of a Chargeback does not arise at all and thus there is no Chargeback document. Refer Slide 7 Chargeback document will not be created for Vendor 2 and Vendor 3 as no agreement is found for those invoice line items.

Chargeback Creation Transaction codes (/IRM/IPSPRO Path is also shown here) Tcode for Individual Chargeback creation : /IRM/IPCBM. CB Mass Processing IP-Chargeback's-Mass Proc.of Sales Documents (Sales Source Documents) The transaction code is /IRM/IPCB22. CB Mass Processing IP-Chargeback's-Mass Proc.of Billing Documents (Billing Source Documents) The transaction code is /IRM/IPCB21. CB Mass Processing IP-Chargeback's-Mass Proc. of Claims (Claims Source Documents created form Sales document) The transaction code is /IRM/IPCB20.

Chargeback Display or Change TCodes CB Search and Process IP-Chargeback's-Claim Process The transaction code is /IRM/IPCB31. CB Search and Process IP-Chargeback's-Billing Process The transaction code is /IRM/IPCB31. CB Search and Process IP-Chargeback's-Sales Process The transaction code is /IRM/IPCB32. CB Search and Process IP-Chargeback's-Process The transaction code is /IRM/IPCB33.

Chargeback Accounting Document Display /IRM/IPCB35

Document flow for the accounting document of Chargeback

Technical Information For CB Area TCodes of CB Reports /IRM/IPCB05 /IRM/IPCB41 Program Name /IRM/IPCB_LIST_DISPLAY /IRM/IPCB_MISSING_BILLING_DOCS User Exits Function group for CB XIPCB XIPCB IP: Chargeback Customer Enhancements Different types of exits for Accrue, Settlement depending upon various mode of selection of data. BADI /IRM/BADI_IPCB_ALL IP: Chargeback Customer Enhancements BADIs for Chargeback for modifying accrue, settlement calculations, Enhance KOMP data, KOMK data, user fields reconcilation

High Level Overview from Contract to Chargeback Business Process for a Pharma wholesale business process Manufacturer Contract Negotiation With GPO or End Customer Wholesaler Receive Contract Award Notification (EDI 845) End Customer Place Order with Wholesaler Send BID Award to Wholesaler Receive Order Ship Product and Invoice End Customer Receive Product and Invoice Receive Chargeback Chargeback Request EDI 844 Chargeback Reconciliation (EDI 849) Ship Product and Invoice End Customer

Chargeback functions : CB Creation, Document flow and Reconciliation Chargeback Creation Chargeback Document Outbound EDI 844 and inbound 849 support Automatic and manual creation Chargeback pricing procedure and account determination (can be used to adjust Chargeback amounts, accrue rebates, post to specific accounts, etc.) View contract data in Chargeback Create Chargeback's in batch, periodically or immediately Track vendor s reference number Combine multiple Chargeback requests into a "collective Chargeback request" to reduce transaction volume View vendor data in Chargeback Output and/or re-submit Chargeback using EDI 844, print, fax, email, etc. Full Chargeback workbench integration (all document display and processing can be done without leaving workbench) Document flow including Chargebacks, SD documents and contracts. Generate Chargeback when a contract is loaded retroactively Chargeback linked to all source EDI transactions Full change log and audit history

Chargeback functions : CB Creation, Document flow and Reconciliation Chargeback Reconciliation All Chargeback rejections, statuses and paid amounts visible on Chargeback document Track requested and paid Chargeback amounts separately Track rejection reasons Customizable rejection processing including custom fields, validations and workflow Reverse and reopen posted Chargebacks as a result of subsequent reconciliation Web portal for manufacturers to enter Chargeback response into your SAP system.