Workday - Procure to Pay (P2P) Process Summary
This
is a general overview of the procure to pay process in Workday.
It
is important to understand the 4 key components of the Procure to Pay (P2P)
process shown in the diagram below.
These steps are required to process invoices within the Workday system:
Please
use the links included below to view related help documents.
- User creates a requisition:
- Requisition routes for approval
based on requisition type selected.
- Purchase order(s) are created
when the requisition is approved
- Purchase orders will be issued
to suppliers based on the “Issue Option” set on suppliers. (Email, XML Auto)
- Confirming Purchase Orders will route back to the requisition creator to update
the issue option to, “Print” so that the order does not transmit to the
supplier.
- When the purchase order is in
“Issued” status, the user will get an alert within Workday notifying the
user that the PO was issued.
- It is best practice to confirm
that the supplier received the order and is processing to
fulfillment. Contact your supplier
rep or customer service representative as needed to confirm.
- Supplier ships
goods/services. Receipts are
required on all Purchase Orders upon delivery of goods and services.
- User processes Receipt records on PO according to packing slip, invoice, shipping
manifest, etc.
- Receipts are required to
release payment and are part of the three way match process.
- Invoice(s) are sent into the
Workday OCR (Optical Character Recognition) system by supplier or property
team
- Refer to this document for requirements related to sending invoices into the system.
- Invoices MUST include full PO
number on image in order for the system to process the three way match.
- Invoices are read by the OCR
system.
- The Accounts Payable Data Entry
Specialists (APDES) review the invoices for accuracy.
- Invoices with Purchase Orders
noted on the document are linked to the Purchase order in the system and
the three way match event is started.
- If the PO, Receipt and Invoice
match, the invoice will automatically process to Matched and Approved
status ready for settlement on the Open Payables report.
- If there is a variance between
the Invoice and PO and/or Receipt, the invoice will trigger a Match
Exception.
- Match Exceptions must be
corrected in order for invoices to process. Users will be notified of Match Exceptions via a, “Supplier Invoice Match Event” task. There are multiple things that will
trigger a Match Exception. In
summary:
- No
Receipt - This means that the receipt has not been processed on the PO for
the items on the invoice.
- Solution…process the receipt.
- Supplier
invoice variance is greater than 50.00. There are many different
reasons for this exception but, in general, it means that there is a
line item on the invoice that does not match the receipt or PO
amount. Here are some examples
and solutions:
- Price difference from PO to
Invoice on a line item
- Cancel receipt for the impacted
line items
- Create a change order on PO to update the price.
- Submit, approve, issue and
then reprocess the receipt at the corrected amount
- Substitute item delivered due
to supplier shortage on ordered product.
- Cancel receipt for the impacted line items
- Create a change order on PO to add the new item and remove the original
item.
- Submit, approve, issue and
then reprocess the receipt for the substitute item.
- Duplicated line item on the
invoice
- Have the APDES relink the PO
to the invoice with the correct line items through an Accounts Payable
support ticket or by using the Send Back option on the task if
applicable.
- Invoice line does not match
PO or Receipt line amount.
- Request your APDES to
correct line item(s) through an Accounts Payable support ticket or by
using the Send Back option on the task if applicable.
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