Travel Expense Pack – Excel & Word Files
55.59 $
Travel Expenses Template: Covers travel request, budget, advance/allowances, receipt collection, settlement, and cost center/project allocation. Delivers a complete travel file (claim + settlement) and accounting journal for monthly travel review.
Travel Expense Template
Travel Expense Pack for managing travel from travel request and approval → advance/per diem → hotel and ticket expenses → settlement → JE Log and Month-End delivery file within Closing Pack
Value Proposition: Travel Expense Template is used when travel expenses turn into “receipt images + advance transfers” without an accounting trail that closes the balance at Month-End: travel advances are issued and not settled, travel and per diem allowances are issued without a basis, hotel/ticket invoices are charged to a general account without a cost center/project, then at closing, a balance for Travel Advances and an open Claims balance appear without a Tie-out. This Travel Expense Template makes the travel journey a “Case” from start to finish: Travel request and approval → issuing advance/per diem (if any) → compiling hotel and ticket expenses with attachments → settling the travel advance + charging to centers → JE Log + Month-End reconciliation pack ready for delivery.
In 20 Seconds: What Will You Get?
- Travel Request and Approval: A standardized template that documents the purpose, destination, duration, and cost center/project before any disbursement.
- Travel and Per Diem Allowance: Rules (Policy) for Per Diem/limits + what is reimbursable and what is excluded + required documentation.
- Travel Advance: Record of advance disbursement linked to the trip + due date for settlement.
- Hotel and Ticket Expenses: Claim lines categorized (Flight/Hotel/Meals/Transport) with GL mapping.
- Travel Advance Settlement: Sheet that calculates (Advance vs Actual) + refund of the remaining or completion of the expense difference.
- Linking to Centers: Allocation sheet that charges each item to a cost center/project instead of general charging.
- JE Log + Closing Pack: Batch entries + Reconciliations linking the travel record to TB and Adjusted TB at Month-End.
CTA related to outputs: You will receive Travel request + advance/claims + settlement + JE Log + Month-End pack.
Suitable For
- GL / Controller: Closing travel expenses and linking them to trips and advances and producing Reconciliations within the Closing Pack.
- HR / Administration: Managing travel requests, limits for travel and per diem allowances, and reviewing attachments before payment/reimbursement.
- AP / Treasury: Operating travel advance disbursements and settlements and linking payments to clear references to prevent duplicate reimbursements.
Not Suitable For
- If there are no business trips or actual travel expenses (entirely internal operations) — usage will be limited.
- If you have a fully integrated Expense platform (Travel booking + OCR + Workflow + GL integration) that produces a ready Month-End reconciliation — you may only need to update the corporate travel policy.
Without the Pack / With the Pack (Short Comparison)
| Item | Without Travel Expense Pack | With Travel Expense Pack |
|---|---|---|
| Approval Before Disbursement | Travel + advance without a clear trip reference | Travel request and approval + trip with ID and cost center/project |
| Advances and Settlement | Travel Advances balance accumulates and is not closed | Settlement of travel advance (Advance vs Actual) + documented refund/completion |
| Month-End | Total entry for travel expenses without Evidence | JE Log + Reconciliations + Closing Pack linked to each trip |
Before Use: 5 Symptoms That Travel Expenses Will Disrupt Month-End
- Travel advances are issued and then not settled in the same month or within a specified period; and there is no Aging for open advances.
- Travel and per diem allowances are issued without a policy (limits/documents/when they are due), leading to many exceptions that are untraceable.
- Hotel/ticket receipts are not linked to a specific trip or cost center/project, so they are charged to a general account.
- Reimbursements are paid to the employee even though the advance has not been settled, or duplicate reimbursement occurs (advance + full reimbursement).
- Month-End: There is no Tie-out between the travel/advance records and GL accounts (Travel advances / Employee claims).
How the Travel Expense Template Works Practically from Travel Request to Closing?
The pack is managed as a complete operational trip (before/during/after) and not as a single template: before travel, a Travel Request and Approval is created, and a cost center/project and expense limits are defined according to the Corporate Travel Policy. During execution, payments (hotel/tickets/transfers) are recorded and linked to attachments, and any travel and per diem allowance is issued according to clear rules. After returning, a Travel Advance Settlement is performed, comparing “Advance vs Actual,” then preparing the JE Log and posting expenses and settling the advance/claims. At Month-End, Reconciliations are prepared linking the travel record to GL accounts and are included in the Closing Pack.
Implementation Method (3 Steps)
Step 1: Preparation and Gathering Reports
- Define the rules: travel and per diem allowance (Per Diem) + limits for hotel/tickets + acceptable documents + exceptions.
- Prepare Master data: cost centers/projects + GL mapping for travel items (Flights/Hotels/Meals/Transport/Fees).
- Gather payment sources: travel advance (Bank/Cash) + company card transactions (if any) + supplier invoices (travel agencies/hotels).
Step 2: Claims + Attachments + Approvals
- Record the trip as a Trip ID and link it to Employee + dates + destination + CC/Project.
- Record hotel and ticket expenses line-by-line with Receipt index, specifying: Business purpose + GL + CC.
- Record the advance/allowance and link it to the trip, and record the claim status (Submitted/Reviewed/Approved/Returned).
- Manage exceptions (Missing receipt / Over limit / Policy exception) through reason codes + documented approval.
Step 3: Settlement + JE Log + Month-End Closing Pack
- Prepare Travel Advance Settlement: (Advance paid) versus (Actual eligible expenses) → determine (Refund/Additional reimbursement).
- Generate JE Log for posting:
- Dr Travel expenses (by items + CC/Project)
- Cr Travel advance / Employee payable / Corporate card payable (by payment path)
- Month-End tie-out: linking travel and advance records to GL accounts (Adjusted TB) + list of Open trips/advances + Evidence index within Closing Pack.
Components of Travel Expense Pack (Clear Inventory)
-
Corporate Travel Policy
- Practical Purpose: Define travel and per diem allowances, limits for hotel/tickets, mandatory documents, exceptions, and their approval path.
- When to Use: Before approving any trip + when reviewing any claim.
- Resulting Evidence: Approved Policy (Version/Effective date/Approvals).
-
Travel Request and Approval
- Practical Purpose: To prove that the trip is approved before disbursement and link it to a cost center/project and budget if available.
- When to Use: Before booking/payment or before issuing the advance.
- Resulting Evidence: Travel request ID + approvals + trip scope.
-
Travel Advance Register
- Practical Purpose: To record any travel advance and link it to the trip, payment reference, and due date for settlement.
- When to Use: When issuing the advance + updating during settlement.
- Resulting Evidence: Register showing Advance open/settled + references.
-
Travel Expense Template
- Practical Purpose: To enter expenses line-by-line (Flights/Hotels/Meals/Transport/Other) and link them to attachments.
- When to Use: After the trip or weekly according to company policy.
- Resulting Evidence: Signed claim form + Receipt index.
-
Receipt Index
- Practical Purpose: To index attachments and link them to each item in the claim instead of unknown files.
- When to Use: During claim preparation and before approval.
- Resulting Evidence: Deliverable evidence index (Trip ID → receipt file).
-
Per Diem / Allowance Calculator
- Practical Purpose: To calculate the allowance based on days/destination/class (if applicable) and show the payable entitlement.
- When to Use: When calculating the allowance before payment or during final settlement.
- Resulting Evidence: Allowance schedule + policy references.
-
Advance Settlement Sheet
- Practical Purpose: To compare the paid advance with accepted expenses and produce a result: Refund/Top-up.
- When to Use: When closing the trip and before Month-End.
- Resulting Evidence: Settlement statement + approval decision.
-
Cost Center Allocation + GL Mapping
- Practical Purpose: To link each item to a cost center/project and the appropriate GL account to avoid general charging.
- When to Use: Before posting in JE Log.
- Resulting Evidence: Allocation schedule + mapping table.
-
JE Log + Month-End Reconciliation Pack
- Practical Purpose: To produce postable entries and link them to the travel and advance records within the Closing Pack.
- When to Use: Month-End and Year-End.
- Resulting Evidence: JE batch + tie-out to GL + open items listing + sign-off.
What Should Be Included in the Delivery?
- 01-Travel-Expense-Pack.xlsx: The main file (Trips register + claims + settlement + reports).
- 02-Travel-Policy.docx: Corporate travel policy (per diem/limits/required docs/exceptions/approvals).
- 03-Travel-Request-Approval-Form.docx: Travel request and approval + CC/Project + business purpose.
- 04-Trip-Register.xlsx: Trip register (Trip ID/employee/dates/destination/status/CC).
- 05-Travel-Advance-Register.xlsx: Travel advance register (payment ref/due date/settlement status).
- 06-PerDiem-Allowance-Calculator.xlsx: Travel and per diem allowance (days/rates/eligibility) + references.
- 07-Travel-Expense-Template.xlsx: Travel Expense Template (line items + categorization + attachments list).
- 08-Hotel-Tickets-Receipts-Index.xlsx: Index of hotel and ticket expenses + Naming convention + links/paths.
- 09-Exceptions-Log.xlsx: Exceptions (missing receipt/over limit/policy override) + reason codes + approvals.
- 10-Advance-Settlement-Sheet.xlsx: Travel advance settlement (advance vs eligible actual) + refund/top-up.
- 11-CostCenter-Allocation.xlsx: Linking expenses to cost center/project + split allocations.
- 12-GL-Mapping-Travel.xlsx: Mapping travel items to GL (Flights/Hotels/Meals/Transport/Fees).
- 13-JE-Log-Travel-Expenses.xlsx: JE Log for posting (Dr expenses/Cr advances/payables) + references.
- 14-GL-TieOut-AdjustedTB.xlsx: Tie-out between travel/advance records and GL accounts within Adjusted TB.
- 15-MonthEnd-Closing-Pack.xlsx: Closing pack: Summary + open trips/advances + exceptions + sign-off.
- 16-Runbook.pdf: Step-by-step operation (Request → Advance → Claim → Settlement → JE → Reconciliations).
- 17-Controls-Checklist.pdf: Control checklist (approval completeness/duplicate reimbursements/advance aging).
- 18-Archiving-Map.docx: Archiving tree (Year/Month/Trips/Requests/Receipts/Settlements/Pack).
- 19-Signoff-Page.docx: Prepared/Reviewed/Approved + period scope (e.g., Dec-2025).
After Implementation (Two Points Only)
- Operational Outcome for the Team: Each trip has an ID and status (Open/Settled), advances are closed with documented settlements, and allowances are calculated with fixed rules before payment.
- Control/Audit Outcome: Month-End: Reconciliation links (Trip register + advances + claims) to GL/Adjusted TB, with Receipt index and Approval trail within the Closing Pack.
FAQ — Questions Before Purchase
Is it compatible with any ERP system?
Yes. You only need payment/advance references and statements/receipts. The template produces JE Log and Reconciliation file, and posting occurs within ERP according to your accounts.
Does it include Travel Request and Approval before booking/payment?
Yes. There is a Travel Request and Approval template that documents the purpose and cost center/project and approval before issuing an advance or paying for tickets/hotel.
Does it support full or partial settlement of travel advances?
Yes. The settlement supports (Settled/Partial/Refund/Top-up) and shows the remaining balance and plan for closing it before Month-End.
Does it cover travel and per diem allowance (Per Diem)?
Yes, through Policy + Calculator that clarifies entitlement based on days/destination/class (if applicable) with policy references.
What is the minimum data required to get started?
Trip info (employee/dates/destination) + cost center/project + advance/payment references + hotel and ticket receipts or proof + approval.
Is it suitable for multi-branch or project companies?
Yes, by adding Company/Branch/Project/Cost center and producing reports for each entity and then Consolidated.
Is it suitable for monthly closing only or also for annual closing?
Suitable for both. Year-End typically requires stronger Evidence for open items (Open advances/trips), and the Pack produces that within the Closing Pack.
Is there a delivery template for internal/external audit?
Yes: Month-End travel pack (tie-out + open items + receipt index + sign-off) ready for attachment with the Closing Pack.
Ready to close advances and travel expenses on GL with a “Total Entry” evidence file?
Outputs: Travel request + advances + claims + settlement + JE Log + Month-End reconciliation pack.
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