YonSuiteFinanceIntermediateContent quality · 94/100

YonSuite Expense Reimbursement: Evidence from Request to Payment

Control employee expense through request, attachment, budget, approval, duplicate check and payment matching.

费用报销控制 / Expense Reimbursement18 minUpdated 2026-08-21
01

Learning objective

Create an auditable flow from business purpose to accounting and payment.

Roles

Finance, process owners, key users, IT, consultants and internal audit

Prerequisites

  • Confirm entities, periods, currencies, masters and access.
  • Prepare approved normal and exception test data.
  • Define cut-off, interfaces, approvals and changes.

Completion checks

  • Results trace to source document and accountable role.
  • Quantity, amount, currency, period and status reconcile.
  • Exceptions retain cause, action, owner and closure evidence.

Common errors

  • Masking source errors with manual adjustment.
  • Not freezing versions, making results irreproducible.
  • Testing only normal flow.

Thailand project note

Thai implementations should confirm Thai/English masters, THB and foreign currencies, Asia/Bangkok time, segregation of duties, approvals and local retention. This covers ERP process controls only; VAT, WHT, BOI, customs and statutory-accounting conclusions require qualified Thai professional review.

Related modules

finance-controlmanagement-accountingbusiness-reconciliation

03

Steps

01Define expense type, required business purpose, project, cost centre and attachment.
02Check date, currency, amount, duplicate attachment and beneficiary after submission.
03Trigger segregated approvals by amount, category and organisation.
04Show reason and additional approval for budget or policy exceptions.
05Finance reviews account and source completeness before payable or payment plan.
06After payment, match bank result and archive request, approval and posting evidence.
  1. 01

    Define expense type, required business purpose, project, cost centre and attachment.

  2. 02

    Check date, currency, amount, duplicate attachment and beneficiary after submission.

  3. 03

    Trigger segregated approvals by amount, category and organisation.

  4. 04

    Show reason and additional approval for budget or policy exceptions.

  5. 05

    Finance reviews account and source completeness before payable or payment plan.

  6. 06

    After payment, match bank result and archive request, approval and posting evidence.

04

Implementation notes

  • Pilot one organisation and representative period.
  • Exceptions need source, owner, approval and closure evidence.
  • Menus and fields depend on current release and blueprint.
05

References