The following activity codes (sorted by type) may have an impact on the way the function operates :
These codes are never entered in folder management, because their value is calculated :
CASIN (Treasury interface), CSL1 (Consolidation or pre-conso.), DKS (Electronic signature), FEE2 (Fee declaration), KAG (Argentinean localization), PBDPO (Payment balance declaration), VATTN (VAT declaration no.).
BE281 :
Belgian 281.5 form
CCN :
Concessions
CFOM :
Cash forecast management
CSL :
Consolidation
CTSW :
Control system
DAS :
DAS2
DEB :
EU exchange declaration
EFAT :
Electronic invoice
ELINV :
Electronic invoice
ESD :
European services declaration
FAS :
Asset folder
FCT :
Factoring management
FUP :
Reminder and late payment mana
INTCO :
Intercompany transactions
INVCA :
Cancellation invoice
LND :
Loan management
LTA :
Local taxing
MAXPD :
Maximum period (companies)
MURAN :
Spanish payroll
PJM :
Project management
PPT :
Prospect management
PRCSL :
Pre-consolidation
PTX :
Regional taxes
S1099 :
1099
SDD :
SDD management
SEPP :
Credit card integration
SMI :
Integrale migration
SVC :
Cost and revenue accruals
WRH :
Warehouse management
ANA :
No. of analytical dimensions
NBCOA :
No. of charts of accounts
PFI :
Max no. invoicing elements
REC :
Customer sales reps
SFI :
Max. no. entered inv. elts
SIH :
Number of sales invoice lines
STC :
Sales statistical groups
STS :
Purchasing statistical groups
KAU :
Australian localization
KBE :
Belgian localization
KDE :
German localization
KFR :
French localization
KIT :
Italian localization
KPL :
Polish localization
KPO :
Portuguese Localization
KRU :
Russian localization
KSP :
Spanish localization
KSW :
Swiss localization
KUS :
Localization USA
The following general parameters may change the way the function is working :
ACESIMTRC (defined at level User) : Simulated entry generation
LETAUTCNO (defined at level Company) : Auto match inv ->credit note
CTLPERINV (defined at level Company) : Invoice date control Period
DEPMGTMOD (defined at level Company) : Discount management mode
DMAXAGR (defined at level Company) : Maximum contractual period
DMAXPAY (defined at level Company) : Maximum period (companies)
DMAXPAYP (defined at level Company) : Maximum period (Public sector)
FRADGI (defined at level Company) : French fiscal regulation
SALPRITYP (defined at level Site) : Price type
SDDMGT (defined at level Company) : SDD management
SIVNULL (defined at level Site) : Lines set to zero prohibited
SIVSUP (defined at level Site) : Delete invoices
TRSENDDAT (defined at level User) : A/P-A/R accounting end date
TRSSTRDAT (defined at level User) : A/P-A/R accounting start date
GAUKIK1 (defined at level Folder) : Customer invoice: services
TYPINVCUS (defined at level Company) : Customer invoice type
WRNINVOICE (defined at level Site) : Invoice no. warning
The sequence numbers used to number the documents managed by this function are :
WRK : Workflow
WRK : Workflow
The sequence number assignment function defines the sequence number which is used
To assign the VCS sequence number to the customer BP invoices, it is necessary to add the 'VCS number' to the sequence number assignments (Common data module) and to set field 'Manual' to 'NO'. The VCS number is never entered but automatically validated upon creation of the customer BP invoice.
The following automatic journals are used in the posting processes associated with the function :
BPCIN : Customer Invoice- A/R
This function is object managed. The creation, modification, and deletion operations can be activated or deactivated for a given user. Filters by roles can also be associated with this function.
As data is linked to a site, a filter per site can be activated.
The following options can be activated or deactivated for each user :
Invoice validation
Open items
The following tables are used by the function. Their content must be updated if necessary :
Table |
Table description |
---|---|
TABSIVTYP [TSV] |
The following tables are implemented by the function :
Table |
Table description |
---|---|
ACCES [ACC] |
Access by user |
ATABDIV [ADI] |
|
BID [BID] |
Bank ID statement |
BPADDRESS [BPA] |
Addresses |
BPARTNER [BPR] |
|
BPCINVLIG [SIL] |
Customer invoice lines |
BPCINVLIGA [SIA] |
Customer analytical line |
BPCUSTMVT [MVC] |
Customer transactions |
BPCUSTOMER [BPC] |
|
BPSUPPLIER [BPS] |
|
CAAUZ [CAZ] |
|
CACCE [CCE] |
|
CADSP [DSP] |
|
COMPANY [CPY] |
|
FACILITY [FCY] |
|
FISCALYEAR [FIY] |
|
GACCCODE [CAC] |
|
GACCDUDATE [DUD] |
Open items |
GACCOUNT [GAC] |
|
GAUTACE [GAU] |
|
GAUTACED [GAD] |
|
GAUTACEF [GAG] |
Automatic journal formulas |
GDIAACC [GDA] |
|
GJOUCOA [JCO] |
Journals - Chart of accounts |
GJOURNAL [JOU] |
|
GTYPACCENT [GTE] |
|
PERIOD [PER] |
Periods |
SINVOICE [SIH] |
Sales invoices |
TABCOUNTRY [TCY] |
|
TABCUR [TCU] |
|
TABSIVTYP [TSV] |
|
TABUNIT [TUN] |
|
TABVACBPR [TVB] |
|
TABVAT [TVT] |