Runbook True Reconciliation
Transcription
Runbook True Reconciliation
Automate your account reconciliation and reconcile millions of transactions Runbook, Inc. www.runbook.com What you will gain from this session You’ll learn how to enhance your finance function in SAP®, with: Matching and clearing of your open item managed accounts The categorization of the left over line items Template based line item management rules Introducing Runbook Team Bart Krijntjes Paul Schwartz Chief Technology Manager Runbook Inc. +1 (973) 906 0443 [email protected] Business Development manager Runbook Inc. +1 (480) 277 8496 [email protected] Runbook TRUE Reconciliation Slide 3 Session overview Introduction TRUE Reconciliation process • • • • • Process overview My Accounts – Account overview Reconciliation template Account balance tracker / line item management Action items Automation • • Automation of matching and clearing Automation of Line item management in tracker Reporting • • Standard reports inside SAP Dash boarding outside SAP Runbook TRUE Reconciliation Slide 4 Mission: Balance sheet integrity for SAP customers Runbook specializes in technology that automates and streamlines the financial close and reporting process for global corporations using SAP enterprise resource planning software. Runbook solutions deliver smarter software that seamlessly integrates into the existing ERP environment, Runbook bridges the gap between finance and IT. Runbook TRUE Reconciliation Slide 5 Introducing Runbook Inc. FIRST RELEASE IN 2001 250+ INSTALLATIONS AT ‘GLOBAL 5000’ COMPANIES 25000+ USERS AROUND THE WORLD IN SHARED SERVICE CENTERS, BPOS, CORPORATE AND REGIONAL FINANCE DEPARTMENTS RUNBOOK is an SAP gold partner (SAP software and technology solution partner) Available on the SAP partner portal and SAP Store Runbook solutions are SAP certified and embedded into SAP applications Runbook solutions are certified for integration with SAP HANA Runbook Solutions are certified for integration with SAP Simple Finance Runbook Solutions are Certified for SAP Fiori Runbook TRUE Reconciliation Slide 6 Runbook ONE: An integrated solution Runbook solutions delivering smarter software that seamlessly integrates into the existing ERP environment, Runbook bridges the gap between finance and IT. Runbook TRUE Reconciliation Slide 7 TRUE Reconciliation Differentiating features Reconciliation of live data • No downloading or duplication of data • Direct access to all SAP financial data • Links to SAP reports as evidence • Role based workflow • Flexible in workflow levels • Easy & effective collaboration • Auto reconciliation of AR, AP & GL • Automated matching & clearing using enhanced algorithms • Clarity on tasks and Workflow Shared service instructions center • Transformation into global business services Auto consistency • Live data improves accuracy • No unassigned accounts • Fewer human errors Authorization • Embedded with SAP authorizations • No duplication of SOD and role maintenance Audit • Audit Anywhere makes PBC process easy • Documentation attached to reconciliation package Line item automation • Accounts at risk • Values at risk • Line items at risk Risk management • Integrates with SAP Finance master data and structures • Changes supported by Excel upload Ease of maintenance Runbook TRUE Reconciliation • Integrates the reconciliation process into SAP • Ensures security & integrity of data Slide 8 Session overview Introduction TRUE Reconciliation process • • • • • Process overview My Accounts – Account overview Reconciliation template Account balance tracker / line item management Action items Automation • • Automation of matching and clearing Automation of Line item management in tracker Reporting • • Standard reports inside SAP Dash boarding outside SAP Runbook TRUE Reconciliation Slide 9 Reconciliation Process • • • Preparer Prepare reconciliation template Create action items Submit to Reconciler Coordinator • • • • • Reconciler Complete reconciliation template Create action items Submit to Reviewer • • Preparer Reconciler Coordinator Preparation Maintain changes in accounts Runbook TRUE Reconciliation • Reviewer Owner • Slide 10 Reviewer Review reconciliation template Create and review action items Digitally approve or reject to reconciler Owner Final review and certification or reject Reconciliation Execution Account Overview My Accounts Account Template Account line item Tracker Overview of single or grouped accounts giving the accounts reconciliation status For each account item all available months in the reconciliation year are displayed For each month a separate template is created to reconcile/analyze the account If accounts are line item/open item managed, the single postings can be analyzed and grouped together Review and Approval The execution screens are like the Russian Doll – Matrioshka, they are one inside the other. They can also be accessed separately but you can cascade from the largest one to the tracker of a specific Account Item. Runbook TRUE Reconciliation Slide 12 My accounts … All relevant information in one screen.. Go to template in different status modes Comp-Code / GL account / Description Reconciliation Rating / Attachments / Comments/ Actions Reconciliation responsibility group and process status Runbook TRUE Reconciliation GL Account balance in SAP GL Account balance that is reconciled Slide 13 Local Currency Value at risk Open Actions per account and total action balance GL account Risk level Reconciliation Template All function accessible from one screen Other reconciliation template functions Action open in this account Risk assessment at reconciliation template Reconciled Line items grouped by ageing Not reconciled line items Runbook TRUE Reconciliation Slide 11 Line item reconciliation and classifying open line items Line item management categorization functions developed in partnership with Siemens India Manual clearing function to reclassify of charge off open items Runbook TRUE Reconciliation Line item comments (free text) Categorizing line items with reason codes Slide 12 Blocking line items with blocking reasons Snoozing line items with Snooze reasons Action management Action holder and due date information Action balance and value at risk information Action Status Action attributes / classification All open actions to this account Action description where user can explain his activities Runbook TRUE Reconciliation Slide 13 Session overview Introduction TRUE Reconciliation process • • • • • Process overview My Accounts – Account overview Reconciliation template Account balance tracker / line item management Action items Automation • • Automation of matching and clearing Automation of Line item management in tracker Reporting • • Standard reports inside SAP Dash boarding outside SAP Runbook TRUE Reconciliation Slide 17 TRUE Reconciliation automation Runbook Automation All open line items at Month-End GL – AR - AP Rule set Data sets Reconciliation and Review process Acc-Item Event Preparer & Reconcociler Review and approval all CLEARED Clearing doc ≠ “blanc” CLR_RULE “Assignment” 000 CLEARED Line Items ZERO_BALANCE D+C = 0 000 Timing TRACKER - 001 CLEARING MATCHED ZERO BALANCE ZERO_BALANCE D+C <10> AGE > CLEARING STANDARD TRACKER - 002 CLEARING MATCHED IN TOLLERANCE TRACKER - 003 AGE WITHIN CLR STANDARD yes TRACKER – 004 AGE OVER CLR STANDARD Reconcile Open items approved for clearing AUTO CLEARING CLEARING 002 CLEARING MATCHED IN TOL.. Open items not approved for clearing Open items to be managed 003 WITHIN CLR_STRD 004 OUTSIDE CLR_STRD Reconciliation template per account (group) ready for Review and Approval TRUE Reconciliation automation AUTO CLEARING 002 CLEARING MATCHED IN TOL.. 000 Timing Runbook TRUE Reconciliation 004 OUTSIDE CLR_STRD Slide 19 Manage line items: Open item reason codes Comments Actions Demo Session overview Introduction TRUE Reconciliation process • • • • • Process overview My Accounts – Account overview Reconciliation template Account balance tracker / line item management Action items Automation • • Automation of matching and clearing Automation of Line item management in tracker Reporting • • Standard reports inside SAP Dash boarding outside SAP Runbook TRUE Reconciliation Slide 21 Standard reports inside SAP Using SAP standards and latest innovations…… Runbook Insight / SAP UI5 SAP BW / BO HTML5 DALLAS Runbook TRUE Reconciliation Slide 23 Key points to take home Why customers and partners favorite Runbook solutions Added Value • Reduce process cost • Reduce process risk and automate manual activities • Global harmonization of account reconciliations • Corporate transparency on Why, Who and When • Ease of use at management as well as local user level and ssc level • Incorporate and merge both global and local requirements in one harmonized application • Insuring embedded financial reporting agility Runbook TRUE Reconciliation • Provide audit trails, activity history, and controls • Leverage technology to improve data integrity and accuracy Process transparency Usability Flexibility of solution Corporate changes Autonomy • Preventing conflict of interest • Roles based on SAP SOD Data ownership • Easy mitigation of data ownership risk. • Data remains inside the SAP system Ability to integrate • 100% seamless integration of all financial components and data retrieval from the SAP system at real time • Runbook has vast expertise in Experience and SAP Financials • Runbook works with global track record partners Slide 28
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