Scope: The document below outlines the procedure that LTS staff follow to process Electronic Data Interchange (EDI) invoices for Firm Orders. These invoices are supplied by CUL vendors and are bulk loaded into FOLIO.
Contact: Lisa Maybury
Unit: Monographs Receiving
Date last updated: 03/01/2022
Date of next review: March 2024
Retrieving the EDI invoice
Receiving linked line items
Completing the invoice
A staff member in Acquisitions loads an EDI invoice file into FOLIO. After the load is completed, she/he prepares an information sheet, noting the vendor code, invoice number and invoice date of the EDI invoice. This information sheet will go along with the corresponding paper invoice when it arrives but is discarded after the invoice is uploaded for payment to the Library Finance and Budget Office.
Retrieving the EDI invoice
Search for the EDI invoice by invoice number (remember to delete or add prefixes for a complete search) and verify that the following information is correct:
- Invoice date
- Status is "Open"
- Bill to location is set to LTS Acquisitions
- Calculated total amount matches the total of the invoice
- Lock total box is checked
- Adjustments are added for any shipping/postage and the fund is correct
- Invoice number (adding any leading zeros or letters when necessary)
- Vendor name
- Payment method
- Attach/upload the electronic copy of the invoice
- Save & close
Receiving linked line items
- Click on the first invoice line
- The invoice POL will appear and you will then click on the PO line number
- This will take you to the POL in the "Orders app". In the upper right hand corner, click Actions--Receive
- Verify that the title received is an exact match with title ordered
- Receive the POL following receiving guidelines
- Update Instance and Holdings records following guidelines
- Compare paper invoice total with lock total amount in FOLIO to make sure they agree
- Change invoice status to "Reviewed"
- The invoice will then be available for payment by Library Finance and Budget Office