Reference: Edit Tenant Setup - Financials
Manage tenant-wide settings for Workday Financial Management in these areas:
Business Document Sequence IDs
Option | Description | More Information |
|---|---|---|
Business Document Sequence IDs
| Select an ID sequence generator definition to automatically number documents across all companies.
When you specify an ID sequence generator for a company on the Edit Company ID Definitions task, the company ID sequence generator values take precedence.If you leave both the tenant-level and company-level ID sequence generators blank, Workday:
Create ID Definition task.Except for ID Generator for Miscellaneous Payment Request and ID Generator for Payment External EFT ID , sequence generator IDs aren't gapless. | |
Business Entity Sequence IDs
| Select the type of sequence generator to automatically number each new entity.
When you leave this field blank, Workday assigns a unique ID to new business entities. |
Budget Options
Option | Description | More Information |
|---|---|---|
Generate Budget Source Reference ID as Plan Name
| Select this check box to use the plan name as the default budget reference ID for your financial plans and project budget sources.
If you don't select this check box, Workday automatically generates the reference ID in the standard format on the Create Plan Template task. | |
Group Allocations by Budget Date
| Select to opt in to grouping your allocation result lines by the fiscal period on the budget date of source transactions.
When you opt in, Workday displays a Budge Date column to these tabs on the allocation results:
To group budget dates for source allocation results, you must configure specific values on allocation definitions, in addition to opting in. We also group allocation results that have no budget dates. | |
Expense Report Default Date
| Workday automatically selects the Document Date option as the default budget date for expense reports.
To use the expense line date as the default budget date, select the Expense Report Line Date option. For itemized expense lines, Workday uses the itemization date as the default budget date. | |
Procurement Card Default Budget Date
| Workday automatically selects the Source Document Date option as the default budget date for procurement card transactions. This option populates the original source document date as the budget date on your transactions.
To populate the transaction date as the budget date, select the Document Date option. | |
Purchase Order Default Budget Date
| Workday automatically selects the Source Document Date as the default budget date for purchase order line items. This option populates the requisition line budget date as the budget date for your purchase order line.
To use the purchase order document date as the default budget date, select the Document Date option. | |
Supplier Invoice Default Budget Date
| Workday automatically selects the Source Document Date option as the default budget date for supplier invoices and supplier invoice adjustments. This option populates the budget date from the purchase order, supplier contract, or requisition line or splits.
To populate the budget date from the supplier invoice document, select the Document Date option. |
Projects
Option | Description | More Information |
|---|---|---|
ID Generator for Projects
| Set your syntax for project IDs when you create a new project. When you leave the Project ID field blank, Workday assigns an incremental ID based on your naming convention. Use to convert basic project worktags to full-featured project definitions. | |
Rating Scale
| Set the scale by which to rate worker performance for each completed task on a project. The rating scale defines the options in the Rating and Default Rating fields on the Rate Work task and the related business process. | |
Enable Worksheets for Resource Forecast
| Select to use Worksheets to edit resource forecasts. | |
Use Resource Plan Dates
Use Project Plan Task Dates Use Task Resource Dates | Select to determine a worker's project eligibility. The date range determines when a worker can enter their time in Workday.
To apply the most restrictive eligibility range, select multiple date options. When you select multiple options, the time entry date for the worker must be valid for all options. | |
Include Worktag Types in WIP (Project and balancing worktags included without selection)
| Configure to report on work in progress (WIP) with additional worktags from the source transaction. Workday updates WIP accounting journals to include worktags that are:
| |
Configure Find Worker Report
| Specify a report for all Find Workers buttons in Workday. By default, Workday uses the Find Worker for Project report.
If you specify a custom report, ensure that users have access to it so they can use the Find Workers button. If you configure a custom report, it must use the Workers for HCM Reporting data source. | |
Always use Find Available Workers for Project
| Select to use the Find Available Workers for Project report for the Find Workers button. This setting overrides the report specified for Configure Find Worker Report . | |
Run Project Worker Days Job
| Select to start the Project Worker Days batch job. This job runs in the background and collects 3 years of scheduled daily hours on project workers.
Project workers include workers who:
To view this data, you can:
| |
Start Month for Project Worker Days Job
Start Day for Project Worker Days Job | Required to run the Project Worker Days job. Sets the 3-year date range for the data collected by the batch job.
If the start date is after today, the date range is 2 years in the past and 1 year in the future. If the start date is before today, the date range is 1 year in the past and 2 years in the future. | |
Enable Resource Scheduling
| Select to enable scheduling for your project resources.
Workday requires resource forecasts for you to effectively use the Manage Worker Assignments report to schedule your resources.When selected:
Workday-generated resource forecasts don't display in the user interface, except for reporting. When you create your own forecasts, they replace the Workday-generated forecasts. | |
Forecast Frequency View
| Select the time interval for generating the resource forecast.
Example: Week. | |
Forecast Source
| Select the source for generating the forecast hours.
Example: Percent Allocation. | |
Forecast Hours
| Select the numerical format for generating the forecast hours.
Example: Whole Numbers | |
Enable Optimized Search by Project Assignable Role and Worker
| Select this option to enable the Project Assignable Role and Worker for Assignable Role prompts in the search dialogs for the Manage Project Billing Transactions and Transfer Project Transactions tasks.
When you enable this option and submit, one-time background processes will start immediately: Initialization of Denormalized Role Assigner and Initialization of Denormalized Role Assignment . These jobs can take a significant amount of time to complete and might affect your system's performance, especially if you have a large number of approved projects. To minimize disruption, we recommend activating this feature during off-peak hours or over a weekend.Users will only see these new prompts in the search dialogs once both initialization jobs have successfully completed. Any subsequent changes to your project hierarchies, such as structure modifications, parent/child changes, or role assignments, won't show up in search results immediately. Expect a delay until the hourly Denormalized Role Assigner Audit and Denormalized Role Assignment Audit jobs complete their processing.Also, the Project Assignable Role prompt does not support assignable roles associated with security groups with the access right Applies to Current Organization and Subordinates to Level . If you select this type of assignable role, the search doesn't return any transactions.The Project Assignable Role you select may be assigned to more than one role-based security group, and those security groups can each have a different setting for Access Rights to Organizations .
In this case, Workday applies access rights following this ranking order:
|
Defaults
Option | Description | More Information |
|---|---|---|
Default Company for Automatic Invoice Creation
| Specify the company that you would like to use for automatic invoice creation.
Workday uses this value only in a web service for legacy integration. | |
Default Revenue Category for Automatic Invoice Creation
| Specify the revenue category that you would like to use for automatic invoice creation.
Workday uses this value only in a web service for legacy integration. | |
Default Reporting Book
| Displays the default reporting Book on
reports where you select the book as a parameter. You can change the default book by selecting
the Tenant Default check box on the Maintain
Books task. When you configure a default book for a company hierarchy or
company, it overrides the tenant-level default.If
you define more than 1 book and don't set a default book, you must select a
Book when you run a financial report. Otherwise, the report returns
results for all books and you risk double-counting. |
Customer Contracts Options
Option | Description | More Information |
|---|---|---|
Only Include Non-Recoverable Tax on Billable Transactions
| Select to exclude recoverable tax from your expense report and supplier invoice billable amounts. | |
Require Paid Prepayment Status for Prepaid Billing
| Select to require that you must apply payments to prepaid installments before you can consume against the installments. | |
Invoice Prepaid Installments with Other Transaction Types
| Workday automatically enables this check box and bills prepaid installments on the same invoice as other installments and transactions when you create customer invoices. | |
Create and Submit Installment for Credit and Rebill
| Select to automatically create and submit new installments on customer contract billing schedules when you create credit adjustments or create and rebill customer invoices. | |
Include Closed Revenue Recognition Installments in Period-End Revenue Accounting
| Select to include closed revenue recognition installments in calculations for period end revenue accounting. | |
Revenue Recognition Default Currency Rate
| Select the currency conversion rate for Workday to use when you create new revenue recognition schedules with foreign currency.
By default, Workday uses the revenue recognition installment date as the currency conversion rate unless you select a different option from the prompt. |
Procurement Options
Option | Description | More Information |
|---|---|---|
Disable Workday Delivered Duplicate Supplier Invoice Validation on Supplier Reference
| Select to disable automatic validation for duplicate supplier reference numbers for the same supplier, on:
When you disable automatic validations, Workday recommends that you validate for duplicates based on your own conditions. Use the Maintain Custom Validations task to define condition rules for both supplier invoices and supplier invoice adjustments. | |
Default Worker Location on Spend Transactions
| Select for Workday to populate the primary job location of the worker in the Worktags field on:
The worker must be assigned a location to be able to default to a document. Workday copies the worker’s location from a Requisition to a Purchase Order. This option applies only to Spend documents that reference a worker in Workday. | |
Use Current Date for Purchase Orders Sourced from Future-Dated Requisitions
| Selecting the check box can misalign the accounting dates for purchase orders and requisitions, causing them to be in two fiscal periods. If you use commitment accounting, do not select this option. | |
Item Display Option
| Select to determine how Workday displays purchase items:
The option you select displays for all procurement documents. If you aren’t using items, no selection is necessary. | |
ID Generator for Purchase Item Identifier
| Select a sequential ID generator for Workday to populate a sequential ID number on purchase items.
Configure a sequence generator to enable this option. Set the last number used in the sequence generator after you’ve completed your item conversion. | |
ID Generator for Purchase Item Event
| Select a sequential ID generator for Workday to populate a Request ID number on a Purchase Item Event. This ID is applicable to the Create Purchase Item and Edit Purchase Item tasks. | |
ID Generator for Mass Maintain Purchase Items Request
| Select a sequential ID generator for Workday to populate a Request ID for purchase item requests made with the Mass Maintain Purchase Items Request task. | |
ID Generator for New Purchase Items Request
| Select a sequential ID generator for Workday to populate a Request ID for a purchase item requests made with the New Purchase Items Request task. | |
Spend Category Hierarchy Root Node for Search Catalog
| Select a root node to enable Category Hierarchy as a search option on the Search Catalog task so you can search for items by spend category hierarchies.
You must create spend category hierarchies before you can enable this option. Coordinate with your FDM team to create your own custom spend category hierarchy for your items. | |
Disable Category Facet in Search Catalog
| Select to hide nonhierarchical spend categories as a search option on the Search Catalog task.
Used to prevent too many items returning in search results. Workday recommends standardizing your naming conventions so that a search returns only relevant items. | |
Default Requisition Company From User's Previous Requisition
| Select for Workday to populate the Company prompt with the company on the last requisition created.
This option minimizes the information a worker must enter when creating a requisition. | |
Default Requisition Ordering Method
| Select an ordering method to set as the default ordering method that Workday recommends to users when they start a new requisition in the Requisitions worklet. | |
Default Advanced Checkout in Requisitions Worklet
| Select to display the Advanced Checkout in the Requisitions worklet to replace the simple checkout. The Advanced Checkout displays additional requisition details and fields to all workers using the worklet. | |
Enable Advanced Ship Notices
| Select to enable suppliers to create advanced ship notices (ASNs).
Enable ASNs on each supplier to automatically process them. Buyers can also manually create ASNs. | |
Enable Purchase Order Acknowledgements
| Select to enable suppliers to create purchase order acknowledgments.
Buyers can also manually create purchase order acknowledgments | |
Disable Multiple Purchase Order Acknowledgements
| Select to accept only 1 purchase order acknowledgement for each purchase order line.
Before you select this option, Workday recommends that you cancel any draft and in progress purchase order acknowledgements. | |
Enable Multi-Company
| Select to include multiple companies in lines on:
You can't disable this setting when you have active multicompany purchase order or requisition lines. When you select Requisitions , Workday automatically enables the Purchase Orders option. If you clear the Requisitions option, Workday doesn't automatically disable the Purchase Orders option.Business process routing only uses the document header company where applicable. | |
Enable Consolidation of Requisitions Across Supplier Contracts
| Select to consolidate requisition lines with different supplier contracts to 1 purchase order during sourcing when these values match:
We display the supplier contracts at line level on resulting purchase orders. To automatically source while consolidating, schedule an automatic sourcing job on the Schedule Requisition Auto-Sourcing task.This option doesn’t apply to punchout requisition purchase orders. | |
Only Defined Ordering Units of Measure for Catalog and Supplier Items on Transaction Lines
| Select to restrict the unit of measure (UOM) options to the configured ordering UOMs for items with supplier information:
| |
Enable Catalog Data and Pricing for Purchase Item
| Select to edit catalog item information, such as supplier item identifier and units of measure, on the Create Purchase Item task.
This allows you to edit the catalog date transferred to the purchase item. If you aren’t using catalogs, don’t select this option. | |
Enable Duplicate Names for Purchase Items
| Select to configure more than one purchase item with the same name. You can configure names that correspond with the item names that manufacturers, suppliers, and item content providers have for your items in their own systems. | |
Enable Unit Cost Updates on Purchase Order Lines with Invoices
| Select to enable updates on the Unit Cost field on goods lines from purchase orders associated with supplier invoices.
You can update the purchase order price using the Create Change Order task when there's an invoice match exception.You can also update the lines for purchase order goods when the associated invoice has a status of Draft .When this option is enabled, you can update the unit prices on purchase orders to resolve supplier invoice matching exceptions. If you don’t enable this option, you can’t update the unit price on a purchase order line when doing a change order. | |
Enable Patient Charge Information
| Select to link purchase items to multiple Charge Description Master (CDM) codes associated with revenue centers and companies. You can use Patient Charge Information when integrating item information with external systems. | |
Enable Healthcare Options
| Select to capture and view medical procedure information on bill-only requisitions and ad hoc purchase orders.
Enable this option to include Procedure Information on procurement documents. | |
Disable Fully Receive for Purchase Order Receipts
| Select to prevent users from fully receiving goods or services from purchase order receipts. When selected, workers must enter a quantity for each item on the receipt.
While enabling full receipt of ordered quantities saves time, it can also increase errors in receipt quantities that may not be found until later. | |
Enable Web Item Replacement for Requisition Sourcing
| Select to enable web item replacement during auto-sourcing or manual sourcing of requisitions to purchase orders. When enabled, you can create purchase orders with item substitutes instead of the web items.
When there isn't an item substitute, the purchase item linked to the web item is used when it has supplier information matching the supplier for that web item. | |
Enable Spend Category/Supplier Mismatch Alert for Requisitions
| Select to display a warning on requisition lines when the requester selects a supplier that hasn't been chosen for the spend category before. Workday also recommends the top 3 suppliers to select. | |
Disable Barcode Scanner on Create Recipe on Mobile
| Select to hide the barcode scanner on the Create Receipt task on Workday mobile applications. | |
Disable Prompts on Create Receipt on Mobile
| Select to disable prompts on the initial screen of the Create Receipt task on Workday mobile applications. | |
Enable Cancellation of Draft Receipts with Matched Invoices
| Select to enable users to cancel draft receipts with associated supplier invoices that are matched or paid. | |
Lead Time
| Specify a value for the number of days between the document date of the purchase order and the expected delivery date.
|
Miscellaneous Payment Request Options
Option | Description | More Information |
|---|---|---|
Miscellaneous Payment Request Options
| Select 1 of these accounting options for your miscellaneous payment requests:
To change the accounting option, all miscellaneous payment requests must be in Canceled or Denied status. |
Lease Accounting
Option | Description | More Information |
|---|---|---|
Lease Accounting
| Use this prompt to:
If you select Operating Lease IFRS or Public Sector , Enable Multibook Business Asset Accounting on the Business Assets Options section.If you select 2 or more options, you must configure lease contract book code configurations. You can't change your settings after you create an operating lease-type supplier contract. | |
No Lease Accounting Items
| Select to opt out of the lease accounting feature.
You can still create financial lease type supplier contracts without configuring lease accounting in your tenant. | |
None of the Above
| Workday automatically selects the option during creation of tenant. |
Cash Basis Accounting
Option | Description | More Information |
|---|---|---|
Book Code for Cash Basis Accounting
| Select the book code to post cash basis transactions to in operational journals. | |
Book Code for Accrual Accounting
| Select the book code to post accrual transactions to in operational journals. |
Supplier Accounts Options
Option | Description | More Information |
|---|---|---|
Hide Custom Validations on the Work Queue
| Turns off custom validations in the Supplier Invoice Work Area report. Select the check box when the report doesn't load. | |
Exclude from Supplier Invoice Discount
| Select which charges you want to exclude from the calculation for the supplier invoice discount:
When you pay supplier invoices within the discount period, Workday calculates the total amount in the settlement run. After you select the charges, we display these fields on the Supplier Profile:
| |
Additional Discount Days
| Enter the number of days you want to be able to take discounts past the discount period. | |
Allow Access to Supplier Invoice Tasks With Detailed Validation Messages
| Select to configure custom validations that display when you can't change or cancel supplier invoices or invoice adjustments.
You can view the validations when you access the Cancel or Change related action menu from the supplier invoice or invoice adjustment. If you clear the check box, we don’t display the Change or Cancel options. | |
Split Screen Default Option
| Select to set up a default split page view preference for attachments on supplier invoices and invoice adjustments. | |
Enable Management Approval Chain Routing | Select to route supplier invoices for approval through the management chain of the approver. This saves you from having to create multiple roles to approve the invoice. | |
Bypass Validations for Bank Account Number, IBAN and Tax ID for Supplier
| Select to disable the standard format validations for the Bank Account Number , IBAN , and Tax ID fields. This configuration bypasses validations for Tax ID Identification , Bank Account Number , and IBAN in related UI tasks and the Submit Supplier web service (WS v46.0). Ensure you configure the optional fields for suppliers to make the fields not enterable in the UI tasks. |
Supplier Options
Option | Description | More Information |
|---|---|---|
Enable Workday Central Login Provisioning for Supplier Contact
| Select this option to activate Workday Central Login for your supplier contacts. Supplier Connector setup is required to enable this option. | |
Select Fields to Use to Detect Duplicate Suppliers
| Select fields to use as criteria to detect and display potential supplier duplicates on these business processes:
| |
Default Companies for Role Assignment
| Select companies to set default responsibilities and permissions. These defaults apply to role assignments when the Supplier's Restricted to Companies field is blank. This also applies to changes in a worker's Supplier Settlement Bank Account Change Event if:
|
Supplier Portal Options
Option | Description | More Information |
|---|---|---|
Enable Supplier Portal Custom Validations
| Select to configure custom validations for supplier documents that external supplier contacts submit though the Supplier Portal. |
Expenses Options
Option | Description | More Information |
|---|---|---|
Disable Grid View Default for Expense Report Reviews and Approvals
| Select this check box to make list view the default view when reviewing or approving expense reports from My Tasks or the Expense Report Work Area report. | |
Disable Multicurrency on Expense Reports
| Select when your organization doesn't use multiple currencies on expense reports.
Selecting this check box prevents workers from changing the expense line currency when creating and editing expense reports. It doesn't disable multicurrency functionality in your tenant. | |
Hide Tax Checkbox on Expense Report
| Select to hide the Tax check box when your organization doesn't require tax reporting.
From the related actions menu of the saved expense report, workers can select Enable Tax to include tax amounts. | |
Hide Spend Authorization field on Expense Report if Worker has no Spend Authorizations
| Select to hide the Spend Authorization field if workers don't create spend authorizations for expense reports. | |
Hide Billable Checkbox on Expense Report and Spend Authorization Line
| Select when your organization doesn't bill customers for your worker expenses. | |
Bill Expense Lines when Expense Report is Approved (versus Paid)
| By default, Workday enables you to bill expense lines to the customers of a project when the expense report is in Paid status.
Select to enable lines for billing after the expense report is in Approved status. | |
Make Header the Default Tab for Expense Reports
| Select to make the Header tab the landing page instead of the Expense Lines tab, when workers create new expense reports. | |
Years to Retain Financial Data for Purged Workers
| Specify the number of years to retain financial data for terminated workers to:
When you configure this option and complete the Purge Privacy Data task, Workday permanently deletes personal data for terminated workers from:
| |
Restrict Selection of Project Worktags by Resource Plan
| Select to restrict worker access to only the project worktags associated with their assigned resource plans.
When a project hierarchy inherits a resource plan, Workday uses the resource plan from the lowest parent hierarchy of the project. | |
Enable Cash Advances
| Select to configure cash advance requests using a spend authorization. | |
Enable Tax Defaulting for International Expenses
| Select to set default tax to populate tax codes and tax applicability for expense items. After you select this check box, you can’t clear it.
Workday automatically enables this option for all new tenants, but you must enable it manually in existing tenants. | |
Enable Expensing of Booked Travel Booking Records Before Travel End Date
| Select to enable payees to expense unpaid travel booking records that are in Booked status, before the end date of their trip.
When you don't select this check box, Workday prevents payees from expensing unpaid bookings that they might cancel before departure. | |
Display Travel Booking Records to Employees on Expense Reports
| Select to display travel booking records to employees. Workday hides travel booking records from employees by default. |
Business Assets Options
Option | Description | More Information |
|---|---|---|
Enable Multibook Asset Accounting
| Select to post financial transactions to 1 or more accounting books for lifecycle events of a single asset. You can:
Workday recommends that you don't disable multibook asset accounting after you enable it. You can't expense assets without shares on supplier invoice line splits with multibook asset accounting enabled. | |
Post Work in Progress to Company Asset Book Codes
| Enable asset accounting for multiple books first. You can then select this check box to enable automatic work-in-progress (WIP) reclassification to multiple book codes setup for the company. | |
Expense Assets in the Common Book Code
| Enable asset accounting for multiple books first. When you select this check box, you can override the Accounting Treatment dimension on the spend account posting rule and keep the value set to Expense . | |
Auto Populate Coordinating Cost Center
| Select for Workday to populate the Coordinating Cost Center prompt from the selected cost center worktag during asset registration. | |
Expense Assets without Shares on Supplier Invoice Line Splits
| Select to prevent splits to supplier invoice lines from creating asset shares and automatically set the accounting treatment to Expense . | |
Depreciation Adjustment Options for Post-Acquisition Asset Lifecycle Events
| Select depreciation adjustment options to enable for your tenant. Options that you select display in Depreciation Adjustment Option prompts on business assets and their lifecycle events. Workday always displays the Depreciation Convention option and you can't disable it. | |
Create Multiple Assets from Purchase Order Service Line
| Select for Workday to initiate an asset registration event for every partial receipt or supplier invoice you create from a single purchase order service line with a trackable spend category. Workday creates assets for receipts or supplier invoices on the same service line, but not for both.
When you don’t select this check box, Workday creates only 1 asset for the first receipt or supplier invoice you create from a purchase order service line with a trackable spend category. Workday doesn't update the first asset for subsequent receipts and invoices you create from the same service line. You can perform a cost adjustment and reference a supplier invoice to apply subsequent invoice amounts to the first asset created. | |
Always Go to Review Trackable Lines for Trackable Spend Category
| Select to always prompt users to review and edit trackable lines on purchase order line receipts or supplier invoices before registering assets. When you select this check box, Workday populates the accounting treatment on assets based on asset book rules.
When you don't select the check box, Workday:
This tenant option only applies when you enable the review of trackable lines for assets. |
Banking Options
Option | Description | More Information |
|---|---|---|
Exclude Bank Account Worktag on Ad Hoc Bank Transaction Accounting Lines
| Automatically selects a check box on ad hoc bank transactions to exclude the bank account worktag from noncash accounting lines.
You can still clear the worktag check box on any ad hoc bank transactions that you create. |
Settlement and Bank Account Options
Option | Description | More Information |
|---|---|---|
Enable Multicurrency Settlement Run
| Select to search for items or payments in multiple currencies to add to settlement runs.
When selected, Workday settles the payments using the currency of each transaction. | |
Bank Account Masking for Payment Election
| Select to mask bank account numbers and international bank account numbers on these tasks to secure sensitive information for workers:
Workday also masks the fields on the Payment Election Enrollment Event business process for worker profiles.Users with access to the Person Data: Bank Account Masking security domain can view the unmasked fields. | |
Bank Account Verification for Payment Election
| Select to require workers to verify their existing bank account information before they can add or edit bank accounts or change payment elections. | You must first select Bank Account Masking for Payment Election . |
Maximum Attempts Override for Payment Election Verification
| Specify the number of failed verification attempts allowed before Workday locks the worker out of editing bank accounts or payment elections. | Specify a value from 1 to 10. By default, Workday allows 6 attempts. You must first select Bank Account Verification for Payment Election.
|
Enable Dynamic Supplier Payment Date
| Select to enable dynamic supplier payment dates for supplier invoices on these tasks:
When you create a settlement run, you can use the Dynamic Supplier Payment Date prompt to default supplier payment dates dynamically based on the:
Select the Apply Supplier Credit Adjustments to First Payment Due check box to automatically apply supplier invoice credit adjustments to invoice payments during settlement. Workday nets pending credit memos against supplier invoices irrespective of their due dates. | |
Disable BIC Validation for Payment Elections and Settlement Bank Accounts
| Select to display a warning when you enter an invalid bank identification code on a payment election or settlement bank account. Clear the check box to display an error that prevents users from entering incorrect bank identification codes.
This check box doesn't affect:
| |
Enable IBAN Validation for Payment Elections and Settlement Bank Accounts
| Select to display an error when you enter IBANs that contain lowercase characters or spaces on payment elections or settlement bank accounts. | |
Consolidate Supplier Payments On Behalf of Multiple Companies
| Select to consolidate supplier payments that you pay on behalf of multiple companies to the same supplier into a single payment.
You can't consolidate supplier payments when any company that you pay on behalf of uses a tax certificate number. | |
Enable Payment Purpose Code
| Select to enable payment purpose codes for:
|
Funding Source Options
Option | Description | More Information |
|---|---|---|
Top Project Hierarchy
| Specify a top project hierarchy to group project hierarchies for funding sources separately from projects for the rest of the organization.
When you create funding source or funding source rule, you can include any project in the top-level project hierarchy you specify here. | |
Disable Funding Source Reclassifications for WIP Lines
| Select to restrict Workday from reclassifying work- in-progress (WIP) transactions during processing and reprocessing of funding sources. | |
Include Commitment Spend
| Select to include requisition spend in the commitments ledger during the processing of funding sources. | |
Include Obligation Spend
| Select to include purchase order and supplier contract spend in the obligations ledger during the processing of funding sources. |
Accounting Center Options
Option | Description | More Information |
|---|---|---|
No Intercompany Payable/Receivable Lines when Journals Self Balance by Company for Manual Accounting Center Detailed Journals
| Select to suppress the automatic generation of intercompany payable and receivable journal lines for Manual Accounting Center Detailed Journals for a company if the journal lines for that company are already self-balanced.
When you enable the new option, Workday suppresses intercompany lines at the transaction currency group level within a company. |
Intercompany Accounting Journal Options
Option | Description | More Information |
|---|---|---|
No Intercompany Payable/Receivable Lines when Journals Self Balance by Company
| Select to restrict Workday from generating intercompany receivables and payables lines when your journals self-balance by company. | |
Group Intercompany Payable/Receivable Lines
| Select to automatically group intercompany receivables and intercompany payables lines when journals don’t self-balance by company.
This option sums all intercompany receivables and intercompany payables lines as single lines. It doesn't net payables and receivables. | |
Unrestricted Intercompany Affiliate Selection
| Select to enter a company with a valid intercompany profile on the Intercompany Affiliate worktag on the journal line entry.
The Intercompany Affiliate worktag is no longer restricted to the header company. | |
Copy Attachments to Intercompany Accounting Journals
| Select to display attached files on the child intercompany accounting journals. |
Retained Earnings
Option | Description | More Information |
|---|---|---|
Include Worktag Types
| Specify up to 10 worktag types.
Workday includes the worktag types you specify here in addition to the primary and optional balancing worktags when grouping the income statement (current year retained earnings) lines during the year end roll forward process.
To facilitate eliminations during consolidation, Workday recommends that you include Intercompany Affiliate as one of the worktag types. Workday saves these worktags on the beginning balance journal lines for retained earnings. |
Customer Accounts
Option | Description | More Information |
|---|---|---|
Enable Unique Invoice IDs for Credits, Debits, and Rebills
| Select the check box to create and process adjustments with a unique invoice ID for all companies. It enables you to comply with global accounting requirements.
When selected, Workday removes and inactivates ID generators set at the company level, unless you've selected Inherit from Tenant option on the Edit Customer Account Options task. | |
Customer Display Name Format
| Select to determine how Workday displays the customer name and associated ID on customer documents:
| |
Restrict Invoice Field Editing
| Select to restrict editing of fields that inherit values from awards and contracts. You can then keep customer invoices and adjustments in sync with contract bill amounts.
Workday doesn't restrict your ability to edit worktags. You can create custom validations using calculated fields to verify if an invoice derives the worktag from a contract. Opting in this functionality might impact your integrations when you update invoice values. | |
Enable Interest and Late Fees
| Select the check box to run the Process Interest and Late Fees task.
To opt out in the future, clear the check box and Workday will no longer calculate or display the interest and late fee rules on customer invoices. | |
Use Payment Date Currency Rate for Cross-Currency Payments
| Select the check box to apply cross-currency customer payments using the currency rate from the payment date by default. When you don't select this option, Workday applies cross-currency payments using the payment application date by default. When you specify a currency override rate for your cross-currency application, Workday uses the currency override rate to calculate the payment amount in the invoice currency regardless of the opt-in status. | |
Enable GenAI for Collection Letters
| Select the check box to enable Generative AI (GenAI) for collection letters. When you select the check box, Workday adds a Generate with AI option to the Email Collection Letter task. | |
Enable GenAI for Collection Message Templates
| Select the check box to enable GenAI when you create Message Builder templates for collection letters. When you select the check box, Workday adds a Generate with AI option to the Create Message Builder Template task. |
Customer Portal Options
Option | Description | More Information |
|---|---|---|
Customer Portal Payment Type
| Select an option to process customer portal payments.
You can only select those payment types that have a Payment Method of Manual .Once you enable it, you can't leave the value blank. |
Journal Options
Option | Description | More Information |
|---|---|---|
Always Reverse Operational and Noncontrolling Interest Journals
| Select for Workday to create a reversal journal when you cancel an operational or noncontrolling interest journal. | |
Always Reverse Accounting and Accounting Center Summary Journals
| Select for Workday to create a reversal journal when you unpost an accounting journal, or reverse a summary journal when you cancel an accounting center batch. |
Tax Options
Option | Description | More Information |
|---|---|---|
Disable Update Tax Alert on Taxable Documents
| Select this check box to suppress the page alert that displays when you record changes with possible tax impact on these taxable documents:
Selecting the check box suppresses the page alert on all taxable documents, regardless of the method that you use to calculate tax. We recommend that you leave it unchecked when you use Workday for tax calculations, as the page alert informs users when they need to review tax. | |
Enable Tax Point Date Configuration for Transaction Taxes
| When you select this check box, you can:
| |
Enable Address Level Tax Details
| Select to enable users to record tax details at the address level for companies, customers, and suppliers.
When this functionality is enabled, Workday assigns tax IDs on invoices based on the shipping address, in this order of precedence:
If neither are available, Workday assigns tax IDs based on the tax code on the invoice line. Example: A customer has a primary address in France and an additional address in Germany. When you create a customer invoice for shipping to the German address, Workday defaults the transaction tax ID for Germany rather than France. | |
Enable Company Tax Options for Supplier Invoice Request Invoices
| Select to trigger tax defaulting rules for supplier invoices created from supplier invoice requests. | After set up, the Default Tax Option prompt at the supplier invoice header from the company populates when you:
If the company tax option is either Calculate Tax Due to Supplier or Calculate Self-Assessed Tax , Workday populates these fields at the line:
|
Populate Transaction Tax on Supplier Invoices
Populate Withholding Tax on Supplier Invoices | Select to enable tax default rules on invoices from contracts and purchase orders. Then, the transaction and withholding tax rules populate on these tasks when you create a supplier invoice:
| The tax default rules apply to these documents:
Tax default rules apply to the supplier invoice only when tax details are blank on a purchase order or supplier contract; otherwise, tax details transfer from the supplier contract or purchase order to the generated supplier invoice. |
Endowments Accounting Options
Option | Description | More Information |
|---|---|---|
Book Code for Investment Pool Purchase Book Value Accounting
Book Code for Investment Pool Transfer Book Value Accounting Book Code for Investment Pool Sale Book Value Accounting Book Code for Investment Pool Payout | Select the book codes to post the accounting for investment pool purchase, transfer, sale, and payout transactions. Workday generates journal lines for these transactions to post to the associated books. To post to the common book, leave this prompt blank.
You can also use the book codes to report on these transactions in financial reports. | |
Book Code for Investment Statement
| Select the book code to post the accounting for investment statement activities. Workday generates journal lines for the activities, such as unrealized losses, interest, and dividends, to post to the associated books. | |
Enable Net Asset Accounting for Investment Pool Transfer and Sale
Book Code for Investment Pool Transfer Net Asset Accounting Book Code for Investment Pool Sale Net Asset Accounting | Select to enable net asset accounting for investment pool transfers and sales for your tenant.
Once enabled, you can select the book codes to post the net asset accounting to the associated books for investment pool transfers and sales. |
Data Entry Check Options
Option | Description | More Information |
|---|---|---|
Switch on Data Entry Check everywhere
| Select to enable numerical data entry check in real time. Workday uses machine learning to analyze the numerical data input and displays an alert when the data falls outside historical norms.
When you select this check box, Workday enables data entry check in all areas | You must have at least 100 records with the matching dimensions applied in the past 12 months for the machine learning model to analyze the values.
Workday limits the data used for analysis to the smaller of these numbers:
|
Select areas to switch on Data Entry Check
| You can select areas to which you want to apply data entry check. |