| 
 By using the Payable Summary Entry option, you can enter the payable transactions for all units and jurisdictions in one list.  
You must activate system parameters to access the payable pages.  
| • | Enable Payable Summary Entry (Manage Configurations) |  
 | • | Custom Tab (Manage Configurations) |  
 | • | Enable Reclass Tab (Manage Configurations) |  
 | • | Payable Settings (Manage Restricted Feature) |  
 | o | You can import the "Payable Settings" parameter or call the ONESOURCE Provision support team to activate the parameter. |  
   
Payable Detail 
| • | By default, the system parameter Enable Payable Summary Entry is not activated. |  
 | o | Once activated, the Enable Payable Summary Entry page appears in the "Navigator" to allow data entry. |  
   
| • | By default, the system parameter Enable Reclass Tab is not activated. |  
 | o | Once activated, the Reclass tab appears in the payable summary page for data entry. |  
   
| • | You can create two "Custom Tabs" to separate transaction types. Custom tabs are created by activating the "Custom Tabs" system parameters. |  
 | o | If payable data exists for the Federal and/or State payables that data will appear on the first "Custom Tab" by default. |  
   
| • | The data entered to the "Payable Summary" page is linked the Federal and State payable data entry pages for all units. |  
   
Enable Payable Summary Entry  
To "Enable the Payable Summary Entry" page: 
| 1. | Select Administration and then System. |  
 | 2. | Select Manage Configurations, Advanced Functionality and Payable. |  
 | 3. | Click Enable Payable Summary Entry. |  
   
Name Custom Tabs  
To can create "Custom Tabs": 
| 1. | Select Administration and then System. |  
 | 2. | Select Manage Configurations, Advanced Functionality and Payable. |  
 | 3. | Select the Number of Tabs to display (maximum 2). |  
 | 4. | Type the Custom Tab Name 1. Default value: Payable 1 |  
 | 5. | Type the Custom Tab Name 2. Default value: Payable 2 |  
   
Enable Reclass Tab 
To "Enable the Reclass Tab" page: 
| 1. | Select Administration and then System. |  
 | 2. | Select Manage Configurations, Advanced Functionality and Payable. |  
 | 3. | Click Enable Reclass Tab. |  
   
Reclass Data Input 
To enter  "Reclass Data Input" transactions for "Reclass": 
| 1. | Select Data Input and then Dataset. |  
 | 2. | Select Payable Summary Input. |  
 | 3. | Select the Unit and then Fiscal Year. |  
 | 4. | Select the Jurisdiction and then Rollup. |  
 | 5. | Select the Txn Type (Transaction Type) and then Txn Bucket (Transaction Bucket). |  
 | 6. | Select Class and then Subclass. |  
 | 7. | Type the Amount and then Date. |  
 | 8. | Select the FX Rate and then Description. |  
 | o | If the "Total Reclass" does not equal zero a message appears that a reverse entry must be made. |  
 | o | A reverse entry is required to Save the data entry. |  
 | o | Read-Only data appears after the reclass is "Saved." |  
   
Payable Summary Entry (Custom Tab 1 & 2) 
To enter "Payable Summary Entry" transactions: 
| 1. | Select Data Input and then Dataset. |  
 | 2. | Select Payable Summary Entry. |  
 | 3. | Select the Unit and then Fiscal Year. |  
 | 4. | Select the Jurisdiction and then Rollup. |  
 | 5. | Select the Txn Type (Transaction Type) and then Txn Bucket (Transaction Bucket). |  
 | 6. | Select Class and then Subclass. |  
 | 7. | Type the Amount and then Date. |  
 | 8. | Select the FX Rate and then Description. |  
 
 Note: 
| • | If a Jurisdiction does not appear in the drop-down, then activate the jurisdiction. To activate the jurisdiction, in Data Input, click States and then add a new jurisdiction. |  
 | • | If a Txn Type does not appear in the drop-down, the administrator must set up the transaction type in "Administration." |  
 | • | If a Rollup does not appear in the drop-down, the administrator must set up the rollup type in "Administration." |  
 
   
 |