Adjust Supplier Invoices
- Configure theSupplier Invoice Eventbusiness process and security policy in the Supplier Accounts functional area.
- Create invoice adjustment reasons on theMaintain Invoice Adjustment Reasonstask.
- To create supplier invoice adjustments from returns to suppliers, configure theReturn to Supplier Eventbusiness process with theCreate Supplier Invoice Adjustment from Returnaction after the completion step.
To increase or decrease the amount due to a supplier, you can create a supplier invoice adjustment. An adjustment is a new transaction, with its own document number, that is separate from but linked to the original invoice. Adjustments are debitand credit memos.
- (Optional) To use the approval date as the accounting date on your customer invoices and adjustments or to order document sequence numbers by accounting date, access theEdit Company Accounting Detailstask, and select theSupplier Invoiceoption from theAllow Accounting by Approval Dateprompt.Security:Set Up: Company Accountingdomain in the Common Financial Management functional area.
- Access theCreate Supplier Invoice Adjustmenttask or selectCreate Adjustmentfrom the related actions menu of the supplier invoice.When you use theCreate Adjustmentrelated action, Workday associates the invoice adjustment lines to the:
- Original purchase order.
- Receipt.
- Reference supplier invoice.
- Supplier contract.
You can create supplier invoice adjustments from a single supplier invoice or a single return. You can't reference lines from separate procurement documents.Standalone supplier invoice adjustments created directly on theCreate Supplier Invoice Adjustmenttask don't update commitment accounting. - As you complete theInvoice Adjustment Informationsection, consider:
Option Description Accounting Date OverrideThe accounting override date you enter must be in an open accounting period.This field displays when you set up theEdit Company Accounting Detailstask.Example: You provide a service, but don't create the invoice until the next accounting period. You can select the service date as the accounting override date.Control Total AmountEnter if you know what the total adjustment is. This amount ensures that the computed total inTotal Adjustment Amountmatches the control total.Tax OptionWorkday automatically populates this value from the company accounting details.Workday automatically populates the tax option at the line from the header, but you can override it at the line level.Ship-To AddressWorkday uses this address when evaluating tax rules to determine tax code and tax applicability overrides for the transaction lines.Tax AmountIf you selected to calculate tax, Workday displays the sum of the calculated tax amounts from the taxable lines, based on tax code you specify for each line. To override this calculated amount, you can change calculated tax by tax rate on theTaxtab.If you select to enter tax due to the supplier, enter the tax amount for the transaction. You must have at least 1 line with a tax applicability that is taxable and enabled for allocation.The tax allocated to the lines is only the nonrecoverable amount for the transaction and doesn't always add up to this header amount.If you enter a negative value, Workday allocates the tax amount to a negative or zero-cost line.Withholding Tax AmountWorkday calculates the withholding tax from the invoice lines when tax amounts have a realization point at invoice time.The total doesn't include tax amounts that have a realization point at time of payment. To override this calculated amount, you can change calculated tax by tax rate on theTaxtab.Freight AmountOther ChargesAllocate these landing costs from the transaction header back to the lines. Add a spend category that's eligible for allocation of freight and other charges to at least 1 line, as set up on theMaintain Spend Categoriestask.Example: You purchase a large piece of equipment and have 1 line for the equipment itself and another for installation.Landed Costs in TaxSelect to include theFreight AmountandOther Chargesamounts in the total tax calculation. To include these amounts you must also:- Select aDefault Tax Optionof eitherCalculate Self-Assessed TaxorCalculate Tax Due to Supplier.
- Include 1 or more adjustment lines with aSpend Categoryconfigured to allocate freight, other charges, or both.
- Configure aTax Applicabilityfor those lines that is taxable.
Access theEdit Supplier Account Optionstask to select the check box by default when you create invoice adjustments for specific companies.Worktag Split TemplateBased on the company, select a template to populate on all new lines on the invoice.Workday doesn't populate the template on existing lines with an extended amount, when you make a change, or select different templates at the header.To set up worktag split templates for supplier invoices, access theCreate Worktag Split Templatetask. - As you complete theInvoice Adjustment Reference Informationsection, consider:
Option Description Reference InvoiceYou can create a standalone supplier invoice adjustment and either:- Leave the value blank.
- Select a value if this adjustment applies to a specific invoice.
Originating Country Payment PurposeSelect a payment purpose code if the country sending this invoice payment requires a purpose code. This field displays when you enable Payment Purpose Codes on theEdit Tenant Setup - Financialstask.Receiving Country Payment PurposeSelect a payment purpose code if the country receiving this invoice payment requires a purpose code. This field displays when you enable Payment Purpose Codes on theEdit Tenant Setup - Financialstask.Bank Routing CodeSelect a bank routing code mapped to a bank account from which to settle payments for your invoice adjustment.To enable the prompt, you must configure at least 1 bank routing rule that uses an active bank routing code. See Set Up Bank Routing Codes.On HoldSelectto hold settling this adjustment.If the payment terms include a discount, theDiscount Datedisplays.External PO NumberEnter for purchase orders that Workday didn't generate.Statutory Invoice TypeSelect if you use invoice types to categorize your supplier invoices in compliance with government requirements. - As you complete theAdjustment Linestab, consider:
Option Description Business DocumentYou can view the original purchase order or supplier contractand supplier invoice related to the adjustment line.ClickMatchingto view a summary of all document lines related to the adjustment, including:- Receipts
- Returns
- Other invoices and adjustments related to the originating document.
Workday supports line-level allocation from the supplier invoice adjustment to Procurement-related documents.Tax ApplicabilityIndicates whether the line is taxable and, if taxable, its recoverability. You can use tax applicability to filter transactions in reporting. It automatically populates from the item-specific tax rule based on ship-to address, first by purchase item and then by spend category. If there's no match, it automatically populates from the purchase item. Otherwise, it automatically populates from the spend category.Tax CodeIf taxable, the code automatically populates from theDefault Tax Codeon the header, which you can override.Tax Point Date TypeSelect the type of tax point date for the invoice line and specify a tax point date if the type isGoods/Service Delivery Date. Workday populates tax point date type withInvoice/Adjustment Dateunless you select theVAT on Paymentcheck box for a company. If you select theVAT on Paymentcheck box on theEdit Company Tax Detailstask, Workday sets the tax point date type asPayment Date.Tax RecoverabilityWorkday automatically populates the recoverable percentage on the transaction line based on the specified tax applicability and tax code. You can override this selection. When you specify the tax recoverability, Workday applies the recoverable percentage and the allocation method to the tax amount for tax rates within a tax code.Tax OptionSelectCalculate Self-Assessed Taxwhen suppliers or payees don't charge tax. This option enables you to post your tax liability to a separate ledger account. Otherwise, selectCalculate Tax Due to Supplierto post the tax payment made to the supplier or payee.Extended AmountFor zero cost lines, you must have at least 1 other line item that makes theTotal Adjustment Amountgreater than zero. When you create zero cost lines, Workday allocates the:- Tax Amountto a single zero cost line when other lines don't specify a tax applicability.
- Amount from theFreight AmountandOther Chargesfields to the last zero cost line on the invoice.
WorktagsUse worktags as keywords to more easily classify and find transactions. Configure the allowed worktag types on theMaintain Worktag Usagetask. When you select a worktag type that has related worktags, Workday automatically populates transactions with the related worktag values.Worktag Split TemplateWorkday populates the field from the header template when you create a new line.You can select a new template or override it based on the company at the line. - ClickSubmit.
- Workday generates an invoice adjustment number for the adjustment and initiates theSupplier Invoice Eventbusiness process for transaction review and approval.
- You can update specific fields on unpaid approved supplier invoices without triggering the reapproval process using these tasks:
- Change Approved Invoicefrom the related actions menu of an invoice that is approved but not yet paid.
- Mass Change Approved Supplier Invoices.
Security:Process: Supplier Invoice - Mass Actionin the Supplier Accounts functional area.
- You can cancel a supplier invoice adjustment when you haven't already applied or canceled payments.
- To make a supplier invoice adjustment unavailable for payment, selectHold from Paymentfrom the related actions menu of the supplier invoice adjustment.
- When you enable activity streams for Workday objects, use theFind Supplier Invoicesreport to view your supplier invoice adjustment and enter comments into the activity stream.
- If you need to convert an existing supplier invoice adjustment into a supplier invoice, you can use theConvert to Supplier Invoicerelated action. This action cancels the supplier invoice adjustment and generates a new supplier invoice.