1099 Processing
1099 Processing
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CU_1099_Key_Word_Search query
- Reporting Tools>Query>Query Manager
- Run CU_1099_Key_Word_Search query
- This query will pull up a list of Vouchers with Keywords in the description that do not have a withholding on them
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Calendars/Schedules>Calendar Builder
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Review PS_PYMNT_VCHR_WTHD data
- Before running the Post Withholding process, query any Withholdings in the PS_PYMNT_VCHR_WTHD table that do not match the voucher amounts, and send the results to AP to review (update the account date criteria)
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select P.WTHD_TYPE, P.WTHD_BASIS_AMT_ENT, V.GROSS_AMT, V.VENDOR_ID, E.NAME1, V.VOUCHER_ID, V.INVOICE_ID, V.INVOICE_DT from PS_PYMNT_VCHR_WTHD P join PS_VOUCHER V on P.VOUCHER_ID=V.VOUCHER_ID join PS_VENDOR E on V.VENDOR_ID=E.VENDOR_ID where V.ACCOUNTING_DT>='2024-01-01' and V.GROSS_AMT=P.ORG_WTHD_BASIS_ENT and P.WTHD_BASIS_AMT_ENT<>P.ORG_WTHD_BASIS_ENT order by V.VENDOR_ID - If they determine the amounts in the previous query should be fixed run a sql update statement
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update P set P.WTHD_BASIS_AMT_ENT=P.ORG_WTHD_BASIS_ENT from PS_PYMNT_VCHR_WTHD P join PS_VOUCHER V on P.VOUCHER_ID=V.VOUCHER_ID join PS_VENDOR E on V.VENDOR_ID=E.VENDOR_ID where V.ACCOUNTING_DT>='2024-01-01' and V.GROSS_AMT=P.ORG_WTHD_BASIS_ENT and P.WTHD_BASIS_AMT_ENT<>P.ORG_WTHD_BASIS_ENT
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Post Withholdings
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Review PS_WTHD_TRXN_TBL data
- Once the WTHD_BASIS_AMT_ENT amounts are corrected and the AP_WTHD process has been ran, check for any amounts in PS_WTHD_TRXN_TBL that do not match up with the payment table.
- Using the process instance from the AO)WTHD process ran in step 4 query for any payments that do not match up to the withholding amount
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select W.WTHD_TYPE, WTHD_BASIS_AMT, P.PYMNT_AMT, W.VENDOR_ID, E.NAME1, P.PYMNT_ID_REF from PS_WTHD_TRXN_TBL W join PS_PAYMENT_TBL P on W.PYMNT_ID=P.PYMNT_ID join PS_VENDOR E on W.VENDOR_ID=E.VENDOR_ID where W.PROCESS_INSTANCE = 1532837 --process instance from AP_WTHD and W.WTHD_BASIS_AMT<>P.PYMNT_AMT order by W.VENDOR_ID - send the list to AP for review
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Wthd Voucher/Supplier Mismatch
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Suppliers>1099/Global Withholding>General Reports>Wthd Voucher/Supplier Mismatch
- Run the PS job withholding MISMTCH job
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Reporting Tools>Query>Query Manager
- Run query CU_1099_WTHD_MISMATCH to add vendor_Loc to the missmatch report ran above
- the query uses the data in the PS_MISMTCH_RPT table that is populated from the MISMTCH job
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Manual updates to Withholdings
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There are two ways to do manual updates to withholdings. You can either make a voucher line to not have any withholdings (Suppliers>1099 Global Withholding>Maintain>Update VoucherLine
WithholdingWithholding) or you - can
make manual adjustments to a payment withholding if you need to adjust partial voucher line amounts (Suppliers>1099/Global Withholding>Maintain>Adjust Withholding). After updates are made you need to run the AP_WTHD_UPDT process (Suppliers>1099/Global Withholding
>Maintain>Update Withholdings) - Suppliers > 1099/Global Withholding > Maintain > Update Supplier Withholdings
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Update Withholdings
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Suppliers>1099/Global Withholding>Maintain>Update Withholdings
- Ru process AP_WTHD_UPDT
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Withhold 1099 Report Job
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Suppliers>1099/Global Withholding>1099 Reports>Withhold 1099 Report Job
- Run job to generate 1099s
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