Date Created: January 16, 2024 Last Updated: April 30, 2024
Overview:
Cornell Retail Services uses NetSuite ERP system to order and receive merchandise, enter invoices and extract invoices for payment. NetSuite generates a payment file that is fed to KFS through an integration. Payments to vendors are processed in KFS by the central Shared Services Center procurement team. Segregation of duties exists between buyers, receiving and invoice processing
Criticality: High | Frequency: Other | Turnaround: Other |
Buying Team: Initiates new vendor setup in NetSuite, responsible for placing orders, monitoring inventory levels and reviewing any pricing or delivery discrepancies. Warehouse Team: Receives product at the warehouse, verifies item counts and pricing on orders. Identifies items for return to vendors (damaged, wrong item, etc.) and creates a VRMA records in NetSuite to identify return and expected credits. Vendor: Fulfills orders with reasonable accuracy, adheres to terms in PO and delivers items to CRS warehouse. Ensures invoicing processed promptly. Financial Transaction Center (FTC): Compares invoice received from vendor to PO and receiving record in NetSuite, compares vendor credits to VRMA and item fulfillment record in NetSuite, communicates large discrepancies to unit. Creates weekly payment file to pay vendors for open invoices/credits and processes the integration with KFS. Addresses all requests regarding stale checks or unpaid balance inquiries. |
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Ordering Product:
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Cornell Finance Staff
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