| Responsible | System |
|---|---|
| Last Update | 07/21/2026 |
| Completion Time | 1 day 20 hours |
| Members | 1 |
Reimbursement Process
Accounting Entries
When an expense is approved:
- Go to Expenses > All Expenses.
- Open the approved expense sheet.
- Click Post Journal Entries.
- Quickenerp creates:
- Debit: Expense Account (e.g. 6220 Travel Expenses).
- Credit: Employee Payable (or Bank if paid directly).
Reimbursement Payment
Go to Accounting → Vendor Bills. The employee payable appears as an open item.
- Click Register Payment.
- Select payment method (Bank Transfer, Check).
- Confirm. The payable is cleared.
Corporate Card Expenses
If "Paid By = Company", no reimbursement is needed. The journal entry debits the expense account and credits the corporate card account instead of the employee payable account.
Billing Expenses to a Customer
If an expense is linked to a Project/Task or Sales Order marked as re-invoiceable, the approved expense (at cost, or with a markup if configured) appears as a line ready to add to the customer's next invoice — useful for consultancies that pass travel costs through to the client.
VAT/Tax Recovery on Expenses
Set the correct tax on each expense line so input tax on business expenses (e.g. reclaimable VAT/GST) is captured for your tax return, exactly like a vendor bill — a common thing to miss when employees enter expenses with no tax at all.
Expenses Overview
View allReimbursement Process
Accounting Entries
When an expense is approved:
- Go to Expenses > All Expenses.
- Open the approved expense sheet.
- Click Post Journal Entries.
- Quickenerp creates:
- Debit: Expense Account (e.g. 6220 Travel Expenses).
- Credit: Employee Payable (or Bank if paid directly).
Reimbursement Payment
Go to Accounting → Vendor Bills. The employee payable appears as an open item.
- Click Register Payment.
- Select payment method (Bank Transfer, Check).
- Confirm. The payable is cleared.
Corporate Card Expenses
If "Paid By = Company", no reimbursement is needed. The journal entry debits the expense account and credits the corporate card account instead of the employee payable account.
Billing Expenses to a Customer
If an expense is linked to a Project/Task or Sales Order marked as re-invoiceable, the approved expense (at cost, or with a markup if configured) appears as a line ready to add to the customer's next invoice — useful for consultancies that pass travel costs through to the client.
VAT/Tax Recovery on Expenses
Set the correct tax on each expense line so input tax on business expenses (e.g. reclaimable VAT/GST) is captured for your tax return, exactly like a vendor bill — a common thing to miss when employees enter expenses with no tax at all.
Expense Reporting
Expense Analysis
Go to Expenses > Reporting > Expense Analysis. Pivot with:
- Dimensions: Employee, Department, Category, Project, Date.
- Measures: Total Amount, Untaxed Amount, Number of Expenses, Taxes.
- Filters: Date Range, Status (Approved, Submitted, Paid), Payment Method.
Key Insights
- Department spending by category (which dept spends most on travel?).
- Expense trends over time.
- Top categories by total spend.
- Reimbursement turnaround time (submission to payment).
Policy Compliance Checks
Use the analysis view to spot patterns that suggest policy issues: expenses consistently just under an approval threshold, missing receipts on high-value items, or one employee's spend trending well above their department's average — these are the things a periodic review should catch, not just individual expense approval.
Best Practices
- Require receipts for all expenses over a set threshold (e.g. $25).
- Use expense categories that match your accounting chart of accounts.
- Set up a corporate credit card journal for automatic reconciliation.
- Review expense policy quarterly.
- Reconcile the Expense Analysis total against what Accounting actually posted for the period — differences usually mean some approved sheets were never posted to journal entries.
Expense Workflow
Submitting an Expense
- Go to Expenses > My Expenses → Create.
- Description – What was purchased.
- Category – Select from configured expense categories (Travel, Meals, Supplies).
- Total Amount – Enter with tax included or excluded (configurable).
- Date – When the expense occurred.
- Receipt – Upload image or PDF.
- Paid By – Employee (to be reimbursed) or Company (corporate card).
- Project/Task – If billable to a project.
- Analytic Account – For cost allocation.
- Click Save. Then click Submit to Manager.
Creating an Expense Sheet
Instead of submitting expenses individually, group them:
- Go to My Expenses.
- Select multiple expenses.
- Click Action > Create Report.
- The expense sheet is created with all selected expenses.
- Submit the report for approval.
Approving Expenses
Managers see Expenses to Approve:
- Review each expense and receipt.
- Approve (individually or batch).
- Refuse with a reason if needed.
- Once approved, the expense flows to accounting.
Expense Policies
Go to Expenses > Configuration > Settings. Configure:
- Double Approval – Two-step (Manager + Accountant).
- Payment Method – Register Payment on Approval, Register in Batch.
- Receipt Required – Mandatory receipt upload.
- Tax Inclusion – How taxes are handled on expenses.