Use this function to manage the customization setup of credit memos entry screens.
A standard credit memo entry transaction is initialized upon software installation. It can be modified or deleted using this option, which can also be used to create new transactions.
You can set up several transactions for credit memos. Each transaction, identified by a code and a text description, appears in a selection window when calling the Invoices function.
Refer to documentation Implementation
Presentation
The transaction header allows the user to create new transaction codes or to look for existing transactions to be modified or deleted.
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Fields
The following fields are present on this tab :
Invoice/Credit memo trans.
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Code used to identify the transaction set up. The setup of the entry transactions enables the user to fully set up the entry screens associated with a document (quote, invoice order, request for quotes etc.) or with a stock transaction type (receipt, issue etc.). For each document or stock transaction type, it is possible to define as many entry transactions as necessary, each one being identified by a code. Each transaction is used to define, both for fields located in the document header and fields entered in the lines, whether they must be:
Upon validation of this setup, dedicated entry screens are created, and then can be used by any user having been granted rights on the access code defined in this setup header.
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Transaction description. |
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This flag is used to activate or deactivate a transaction. |
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Access code that is used to restrict access to data by user or group of users. |
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The group of companies or sites entered here is used to filter the records. |
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Presentation
In this tab, define several elements, such as the automatic printing, the display of specific fields along with the document type to be managed with this transaction.
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Fields
The following fields are present on this tab :
Credit memo
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Code of the credit memo document printed during an automatic printing at the end of entry. |
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The automatic print flag is used to automatically launch a print of the document upon entry end. |
Invoicing elements
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This table contains the document invoicing elements (quote, order, shipment, invoice). |
Miscellaneous
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Code used to specify the stock movement group. This code is controlled in the miscellaneous table stock movement group (miscellaneous table n 9). It corresponds to statistical information that is found in the stock movements associated with the document. |
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When this flag is checked, the entry transaction only authorizes the generation of invoice cancellation documents. |
Stock
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A stock transaction code is used to specify rules within a similar transaction type.
The movement code is used to define specific stock receipt rules and stock issue rules for some transactions. Expert users could for instance authorize a receipt to stock of goods with the status A using a dedicated transaction, whereas for all other users the goods will have the status Q. |
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This field is used to specify, for this transaction, the code of the accounting automatic journal used to generate, via the stock accounting interface, the accounting postings along with the stock movements created with this transaction. |
Receipt
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This parameter that is used to define, for this entry transaction, whether the receipts to dock are authorized or not. |
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Fields
The following fields are present on this tab :
Header
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This field is used to determine the origin of the invoice/proforma. |
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This is the purchase invoice number generated from the sales invoice when in inter-company. |
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This field specifies the various statuses of the document. |
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Use this parameter to define if the inter-company nature of the document must be displayed or not. A inter-company document is considered as such if it meets the following criteria:
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Different totals in the document. |
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Select this check box to display the ISR reference number in the sales invoice entry transaction. This check box needs to be selected to print the QR Inpayment slip for QR-bills. This field is related to the SWICUSBVR - Swiss ISR usage Sales (LOC chapter, SWI group) parameter. The ISR payment bank of the invoice is specified in the Payment bank ISR field in one of the following functions. The system pulls the information from the first entry found. |
Line
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This parameter is used to define, for this entry transaction, whether the margin must be displayed or not. This concerns the display of the margin on the line, and of the document total margin. |
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Setup used to define, for this entry transaction, if the field must be present in:
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Product storage unit. |
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Setup used to define, for this entry transaction, if the field must be present in:
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Net price. |
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Setup used to define, for this entry transaction, if the field must be present in:
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Field that cannot be entered and that defines the line.
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Setup used to define, for this entry transaction, if the field must be present in:
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Non-enterable field defining the free item characteristics. |
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Setup used to define, for this entry transaction, if the field must be present in:
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Presentation
In this tab, specify the management mode of some header in the entry screen of the invoice header.
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Fields
The following fields are present on this tab :
Entry
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Code of the customer requesting the order, the direct delivery or the direct invoice. This code:
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The Pay-by BP is initialized by default by the pay-by BP associated with the sold-to customer in the latter's record in the case of a direct delivery. Otherwise, the pay-by BP of the original order is used. It is possible to:
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The group customer is initialized by the group customer code associated to the sold-to customer in the latter's record. This information is used for the generation of statistics. It is also involved in the grouping of invoices during the automatic generation of invoices. There is the possibility to modify the group customer if necessary. It is possible to search a customer or several customer grouped under the same criteria by selecting "Quick customer search". A list of matching items is generated on tabulating to the next field. |
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This field indicates the code of the address to ship to.
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This parameter is used to define, for this entry transaction, whether the project field must be:
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The sales reps are initialized by the customer sales reps, then by those of the ship-to customer, if no sales rep exists in the customer record. In the case of a prospect, the representatives of the prospect are not considered. These sales rep codes are copied to the document lines. If a representative is modified in the document header upon creation or when lines exist in the document, the system suggests to copy the modification to all the lines that already exist. |
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This field can be entered in the case of credit memos: enter the reason for the credit memo in this field. |
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This information is used to indicate the tax rule for the document. This code is controlled in the tax rule table and is initialized by the corresponding code in the BP record. It can be modified. |
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The value of this field (Ex-tax or Tax-incl.) is defined by the general parameter SALPRITYP - Price/Amount type (TC chapter, INV group). When the general parameter NOTATI - Ex-tax and tax-incl. amount/price (TC chapter, INV group) is set to No you cannot modify this information. |
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Stock movement flag that indicates if the invoice is managed with stock update. |
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Shipment site By default it is initialized with the shipment site of the ship-to customer. The site must be defined with the Warehouse flag set to the value "YES". |
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Movement group, initialized by the movement group of the transaction being used. |
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This setup is used to define, for this entry transaction, whether the Incoterm code field must be:
The access to the freight terms code and city/town is also carried out via the menu Options / Customs information.
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Use this parameter to define, for this entry transaction, whether the method of correction must be 'Hidden' or 'Entered'. This method is hidden by default. This method can only be accessed if the following conditions are met:
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Entry
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This is corresponds to the currency of the order, delivery or invoice. It is possible to choose the currency for the delivery transaction as well as to define (depending on the value of the 'Excl. tax and Incl. tax Prices' parameter - TC Chapter / INV/NOTATI group) if the prices are expressed excluding tax or including tax. When the delivery comes from an order, this information is automatically loaded and cannot be modified. When it is a direct delivery, this information is no longer modifiable once at least one delivery line is entered. It is inherited in this case from the invoiced customer information. |
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Enter here the exchange rate for the currency with respect to the company currency. If it is not assigned, the rate used will be that initialized as a function of the "Currency exchange rate" file (displayed after the editable field). |
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This field is used to enter comments where the first line can be taken as a label for the posting according to the parameters of the automatic journal (PIHI for the purchase invoice or SIHI for the sales invoice). |
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Code of the factor proposed as a default value on the invoices for this customer. |
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Enter the code for the BP (customer or supplier) control account initialized by default with the accounting code for the BP invoice. The initialization of the code for the Control field depends on whether or not the BP/Company tab is present in the BP record (GESBPR). No BP/Company tab on the BP record.When the customer or supplier code is specified, the Control account defined on the Financial tab on the first line of the accounting code is used. P BP/Company tab present on the BP record.For a document, the site and the customer or supplier code are the first information entered. The BP record is searched on the BP/Company tab to see if an exception line has been created for the entry site company and, if required, finds the customer or supplier accounting code. The account of the first line of the accounting code is then used. When the exception line is absent for the entry site company, the Financial tab of the BP record is referenced to identify its code. |
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Open item payment due date. If the MAXPD - Maximum period (companies) activity code is activated, a blocking message is displayed if the last due date is greater than the period specified, depending on the case, at the level of the following parameters or of the Contractual period possibly specified at the BP level.
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Code of the payment condition. This code defined the payment code as well as the distribution rules of the various prepayments and open items. It is possible to simulate a distribution using the button [Simul]. As far as order management goes, in creation mode the prepayments corresponding to the payment condition are automatically created. The 'payment condition' code can be modified as long as no prepayment request has been made and the order has not been invoiced. The modification leads to the deletion of existing prepayments and then to the creation of prepayments linked to the new payment condition. |
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This field is used to define, for this entry transaction, whether the reference of the ship-to customer must be:
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Parameter used to define, for this entry transaction, if the discount must be:
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Start and end period for the service provision. |
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Field subject to activity code: KPO - Portuguese localization
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Field subject to activity code: KPO - Portuguese localization
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Use this field to select how the ISR payment bank field displays in the sales invoice entry transaction. For printing the QR Inpayment slip for QR-bills, this field must be Displayed.
This field is related to the SWICUSBVR - Swiss ISR usage Sales (LOC chapter, SWI group) parameter. The payment bank information is used to print the necessary sender’s bank account information on ISR payment forms. Use this bank account as the destination account when paying the invoice. The ISR payment bank for the invoice is specified in the Payment bank ISR field in one of the following functions. The system pulls the information from the first record found.
Important: The ISR payment bank is only considered in the ISR process. |
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Presentation
In this tab, specify the management mode for some fields in the entry screen at the level of each line by deciding for each of the submitted fields whether they should be Hidden, Displayed or Entered according to the same principles as for the fields set up at Header level.
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Fields
The following fields are present on this tab :
Product lines grid
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The first N columns specified in this field remain visible on the screen when scrolling. |
Entry
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This is the product description translated into the customer language. This description is the one that will be printed on the document. If the translation does not exist in the customer language, the un-translated product description is used. This description is also transferred to the next document.
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Setup used to define, for this entry transaction, if the field must be present in:
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This is the description entered on the product record. This description is transferred from the sales invoice to the purchase invoice in case of inter-company invoicing. When the invoice stems from another document, the standard description is inherited from the source line. |
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Setup used to define, for this entry transaction, if the field must be present in:
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Use this parameter to define, for this entry transaction, whether the Major version number is displayed. You can set this field to one of the following values:
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Setup used to define, for this entry transaction, if the field must be present in:
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Use this parameter to define, for this entry transaction, whether the Minor version number is displayed. You can set this field to one of the following values:
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Setup used to define, for this entry transaction, if the field must be present in:
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This field only applies to the invoicing open items of orders. For this entry transaction, you use it to define if the invoiced percentage must be:
Displayed
Entry
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Setup used to define, for this entry transaction, if the field must be present in:
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The sales unit is initialized by the sales unit defined in the Product-customer record, if it exists, otherwise it will be initialized by the sales unit of the product. It is possible to enter another unit using a selection window. The units proposed other than those mentioned previously, are the packing units for the product and the packing units defined in the "Product-customer" record. When necessary and if the user has the appropriate authorizations, it is possible to access the units table. Once the line is entered, it is no longer possible to modify the sales unit. It is necessary to delete the line and to recreate it to modify the unit. |
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Setup used to define, for this entry transaction, if the field must be present in:
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This is the conversion factor between the sales unit and the stock unit. This coefficient can be modified in certain cases. It can be edited if the sales unit of the product has been specified as 'editable', or if the chosen packing unit has also been specified as 'Editable' (See Product record). It cannot be edited if the unit used is a unit defined for the customer. If units are used where the factor is modifiable, it is necessary to define for the product concerned, only prices expressed in stock unit. In addition, if a basic price list has been defined for the sales unit, the modification of the conversion factor for the sales unit does not trigger a recalculation of the unit gross price.
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Setup used to define, for this entry transaction, if the field must be present in:
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Help common to the Order and Buyer plan functions. Use this field to determine the gross and excluding tax unit price of the product. This price is expressed in order unit if the Unit field is declared as accessible at the time of entry in the transaction, if not, it is expressed in purchase unit. When the main information for the line has been given, a price list search process is automatically carried out. The objective of this search is to recover:
When the entered price is null, a message appears to request confirmation from the user. In the Price field, you can use the Actions icon to:
The entry of other data on the line depends on the selected transaction. This is the case for example for the Site information, Quality control code, etc. Inter-company specificities: Within the framework of an inter-site or inter-company order, if the inter-company price lists have been set up, they will be used in the same way as normal price lists. When the sales order is generated, the prices and the discounts calculated for the reciprocal sales order will be determined from the inter-company price lists or the normal price lists. In no case will the prices and discounts entered in the purchase order be transferred to the sales order. The prices between the sales and purchasing documents can change independently. The reconciliation is made at the time of invoicing. |
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Setup used to define, for this entry transaction, if the field must be present in:
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The 'cost price' is loaded by default by the valuation of the product chosen for the margin calculation (see the valuation methods defined for the Product-Site record) at the time of the creation of the document line and is expressed in sales unit. The various possible choices for the cost price valuation are: Standard price, Revised standard price, Last price, Weighed average price, FIFO price, Lot average price and LIFO price. If the valuation method happened to return a zero value, a default value is used by specifying another valuation method contained in the list previously described. This value is stored in the "document" line. It is possible to pre-load this information as a function of the document transaction used. Still, during the following events, the entered value is systematically replaced by the value that comes from the setup of the valuation method for the product, except if this setup determines a null value (in which case the change is saved.)
In quote management, the 'lot average price' always returns a null value. A default value is used. During the delivery validation, the 'Lot average price' is used to recalculate the margin and obtain a real margin depending on the shipped lot(s). |
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Setup used to define, for this entry transaction, if the field must be present in:
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Setup used to define, for this entry transaction, if the field must be present in:
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This field indicates the tax level applied to the selected product. There are several tax levels for a document line:
The tax levels for the document line will be loaded by default with the values associated with the product record ("Accounting" tab). |
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Setup used to define, for this entry transaction, if the field must be present in:
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The sales reps on the document line are initialized by the sales reps entered in the document header. If the latter are not entered, the sales reps in the line are initialized by the sales reps for the customer, by those for the ship-to customer if there are no sales reps in the customer record. If the parameter LINREP - Sales rep on detail allows it (chapter VEN, group MIS), the sales reps can be modified on the document line. It is possible, based on the user's authorizations, to access the sales representative record. |
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Setup used to define, for this entry transaction, if the field must be present in:
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Service start and end date, numver of periods and frequency exploited in Finance to distribute the Accruals. |
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Setup used to define, for this entry transaction, if the field must be present in:
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This field is used to specify whether the line identifies a physical flow playing a role in the Customs document file statement. An invoice line not linked to a physical flow can be declared for regulation if an EEC rule and/or an EEC transaction nature is entered on the invoice (Customs information option). 1/ Product managed in stock
2/ Product not managed in stock
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Setup used to define, for this entry transaction, if the field must be present in:
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This parameter is used to define, for this entry transaction, whether the Project field must be:
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Fields
The following fields are present on this tab :
Entry
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Discounts and charges columns are displayed.
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Setup used to define, for this entry transaction, if the field must be present in:
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Fields
The following fields are present on this tab :
Entry
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This setup is used to define, for this entry transaction, whether the entry in packing units is authorized or not in the receipt movement.
The specific case of Customer returns: if the entry of PAC unit is allowed, then it is possible to modify the sales unit in the return by selecting a different sales unit among the following units:
When this is not the case, the sales unit will not be modifiable and the PAC/STK conversion factor and the STK quantity fields will not be displayed. The specific case of Loan returns: the entry in PAC is not possible in a loan return line. The sales unit is not modifiable for this type of return. |
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Setup used to define, for this entry transaction, if the product Supplier number must be:
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Setup used to define, for this entry transaction, if the field must be present in:
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Parameter used to define, for this entry transaction, whether the product Lot number must be:
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Setup used to define, for this entry transaction, if the field must be present in:
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Parameter used to define, for this entry transaction, whether the product Sub-lot number must be:
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Setup used to define, for this entry transaction, if the field must be present in:
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Setup used to define, for this entry transaction, if the product Sub-lot number must be: |
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This setup is used to define, for this entry transaction, whether the entry status must be:
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Setup used to define, for this entry transaction, if the field must be present in:
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Parameter used to define, for this entry transaction, if the location for the product receipt must be:
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Setup used to define, for this entry transaction, if the field must be present in:
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Setup used to define, for this entry transaction, whether the Order unitary price should be:
This information is used to intervene in the valuation of the stock receipt:
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Setup used to define, for this entry transaction, if the field must be present in:
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Parameter used to define, for this entry transaction, whether the first product serial number for receipt to stock must be:
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Setup used to define, for this entry transaction, if the field must be present in:
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Parameter used to define, for this entry transaction, if the last product serial number, when these numbers are consecutive, must be:
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Setup used to define, for this entry transaction, if the field must be present in:
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The identifiers correspond to pieces of free information each used to identify a stock line. This parameter used to define, for this entry transaction, whether the analytical dimension must be:
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Setup used to define, for this entry transaction, if the field must be present in:
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Setup used to define, for this entry transaction, if the movement description that will be written in the stock journal must be:
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Setup used to define, for this entry transaction, if the field must be present in:
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The presence or absence of this option is subject to the activity code WRH.
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Setup used to define, for this entry transaction, if the field must be present in:
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Detail
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This setup is used to define, for this entry transaction, whether the entry in packing units is authorized or not in the receipt movement. If the the entry of the PAC is possible, it is then possible to modify the PAC/STK conversion factor (on the condition that the product unit authorizes this modification). |
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Setup used to define, for this entry transaction, if the product Supplier number must be:
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Setup used to define, for this entry transaction, if the field must be present in:
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This parameter is used to define, for this entry transaction, whether the Major version numbermust be:
The management of the version numbers is only carried out at the Lot complement window level. |
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Setup used to define, for this entry transaction, if the field must be present in:
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This parameter is used to define, for this entry transaction, whether the Minor version number must be:
The management of the version numbers is only carried out at the Lot complement window level. |
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Setup used to define, for this entry transaction, if the field must be present in:
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The identifiers correspond to pieces of free information each used to identify a stock line. This parameter used to define, for this entry transaction, whether the analytical dimension must be:
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Setup used to define, for this entry transaction, if the field must be present in:
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Parameter used to specify if, for this entry transaction, the printing of documents (in this case, stock labels) is authorized. |
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Setup used to define, for this entry transaction, if the field must be present in:
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Setup used to define, for this entry transaction, if the number of documents to be printed can be entered or not. |
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Setup used to define, for this entry transaction, if the field must be present in:
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Setup used to define, for this entry transaction, if the transaction price in the Stock input entry screen must be:
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Parameter used to define, for this entry transaction, if the last product serial number, when these numbers are consecutive, must be:
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Setup used to define, for this entry transaction, if the field must be present in:
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Setup used to define, for this entry transaction, if the movement description that will be written in the stock journal must be:
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Setup used to define if, for this entry transaction, the available to promise stock in the stock entry screen must be:
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Setup used to define, for this entry transaction, if the field must be present in:
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Lot
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Setup used to define, for this entry transaction, if it is mandatory for the lot expiry date to be entered. |
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Setup used to define, for this entry transaction, if it is mandatory for the lot title to be entered. |
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This setup is used to specify for each of the user free fields 1-2-3-4 of the Lot addition entry window whether these fields must be entered. These fields are used to associate additional information to a lot. |
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Presentation
In this function, the Line distribution field is not accessible.
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Fields
The following fields are present on this tab :
Block number 1
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Parameter used to define if, for this transaction, the analytical dimensions fields of the document header must be:
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This setup is used to define, for this entry transaction, if the analytical distribution key at line and invoicing element level must be:
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Parameter used to define, for this entry transaction, if the field must be present in:
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Specify for this transaction if the analytical dimension fields related to stock movements must be:
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Entry
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Grid Dimension line
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You can enter an analytical dimension type code on each table line. |
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Parameter used to define, for this entry transaction, if the analytical dimension must be:
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Action icon
Click the Preload dimensions action to load the default dimensions defined for a selected group of sites or companies.
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The following fields are included on the window opened through this button : Block number 1
Block number 2
Close This button is used to copy the record definition from or to another folder. |
In addition to the generic error messages, the following messages can appear during the entry :
This message appears when the access code entered does not exist in your user profile. To solve this problem, choose an access code from the list displayed or (provided you have the authorization) add the requested access code to your user profile.