Factoring consists in transferring all or part of the customer accounts receivable or debts to a third party financial body: the factoring company. The factoring company collects the accounts receivable that have been transferred to it and the related non-payment risk. In exchange, the factoring company settles the amount of the invoices, minus commissions and late charges.
It is important to note that saving commissions and late charges is not automated. When entering the payment of the factoring company, you need to create at least two lines: one line for the payment of the receipt as a whole, and another line for commissions and late charges (under an appropriate payment attribute, see Payment attributes).
The factoring function as it is managed in Sage X3 is sub-divided into several phases:
The factoring company is not considered a BP. The payment must be entered on the account of the factoring company, without mentioning the BP.
Refer to documentation Implementation
Fields
The following fields are present on this tab :
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Factor code |
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Factor name |
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Information about the factor company including Bank ID and paying bank or banks.
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Fields
The following fields are present on this tab :
Information
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Factor details |
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Factor details |
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Click this icon to open a mapping site and locate the entered address. |
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Factor details |
Block number 2
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Bank details
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Enter the vendor code used when printing receipts.
When the receipt posts, a magnetic file is issued in the "Bk" sub-directory in the tree structure of the active folder. This information is used to name the root of this issued file and to define its format.
A counter (see Counters) must be related to the factor in order to generate a number for each receipt.
This is the general account related to the factor. Entries are recorded on this account when the receipt has posted. The final payment issued by the factor to the sales site as payment for the account receivable needs to be recorded to this account.
If this general account does not exist in the accounting plan, you need to create it in General Accounts.
To avoid receipt posting and payment notification operations to be posted to a suspended account, you need to stipulate a collective account or a dedicated customer account. A record of the factoring operation is kept on the customer.
The account (or collective account) is an account dedicated to the customer WIP transferred to a factor. If there is no such account, you need to create it Chart of accounts.
This text appears on the invoice print-out when an invoice is sent to the factor. It only applies to invoices where the factor is stipulated before validation.
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Fields
The following fields are present on this tab :
Accounting data
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This field defines the type of relationship or contract with the factor. You have three options:
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This field displays the percentage of the invoice that the factor withholds to anticipate a possible nonpayment. You can only edit this field if the factoring type is No recourse. The actual percentage is based on your contract with the factor and cannot exceed the total invoice amount. If the invoice is unpaid, the factor does not return the reserve percent. |
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This field shows the bank account that is used for all transaction with this factor. A factor must be linked to a bank account. You can only edit this field if the factoring type is not set to Standard. The payment bank populates the following display-only fields:
The currency of this bank is used in the Receipt posting and Payment notification functions. |
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The selected payment bank populates this display-only fields. This is the company/site for the factor. It must be compatible with the company/site for invoices being settled by the factor. You can only edit this field if the factoring type is not set to Standard. |
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The selected payment bank populates this field. All the journal entries in the bank account use the currency allowed (currency of the account or currency of the company) and in the site of the bank (or in the main site of the company). A factor must be linked to a bank account. You can only edit this field if the factoring type is not set to Standard. The currency of this bank is used in the Receipt posting and Payment notification functions. |
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The selected payment bank populates this field. When the invoice currency is different from the bank currency, the rate type is used to calculate the exchange rate. A factor must be linked to a bank account. You can only edit this field if the factoring type is not set to Standard. |
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This field is used to specify the accounting code of the BP. |
File
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The seller code |
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Enter here a document counter code. This code leads to the document counter table which is used to define the format of the receipt number.
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Name of the file |
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Extension name of the file |
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This text appears on the invoice print-out when an invoice is sent to the factor. It only applies to invoices where the factor is stipulated before validation. |
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