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.), FEE2 (Fee declaration), KAG (Argentinean localization), PBDPO (Payment balance declaration).
BE281 :
Belgian 281.5 form
CCN :
Concessions
CFOM :
Cash forecast management
CSL :
Consolidation
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
GDD :
Operating budgets
INTCO :
Intercompany transactions
LND :
Loan management
MAXPD :
Maximum period (companies)
MURAN :
Spanish payroll
PJM :
Project management
PPT :
Prospect management
PRCSL :
Pre-consolidation
PTX :
Regional taxes
S1099 :
1099
SDD :
SDD management
SMI :
Integrale migration
SVC :
Cost and revenue accruals
ANA :
No. of analytical dimensions
NBCOA :
No. of charts of accounts
PFI :
Max no. invoicing elements
PIH :
Supplier invoice lines maximum
REC :
Customer sales reps
SFI :
Max. no. entered inv. elts
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
The following general parameters may change the way the function is working :
VATAUTVAL (defined at level Company) : Automatic VAT validation
ACESIMTRC (defined at level User) : Simulated entry generation
CONTROLDAS (defined at level Company) : DAS2 parameter control
LETAUTCNO (defined at level Company) : Auto match inv ->credit note
AUSABNWRN (defined at level Company) : Warn supplier without ABN
RTZPRW (defined at level Company) : Withholdings on payment mgmt.
CTLPERINV (defined at level Company) : Invoice date control Period
DEFBONPAY (defined at level User) : PA default value
FLGPAZ (defined at level Site) : Payment approval management
FRADGI (defined at level Company) : French fiscal regulation
NIVBONPAYE (defined at level User) : Payment approval level
PIVSUP (defined at level Site) : Delete invoices
SIVNULL (defined at level Site) : Lines set to zero prohibited
TRSENDDAT (defined at level User) : A/P-A/R accounting end date
TRSSTRDAT (defined at level User) : A/P-A/R accounting start date
GAUKIK2 (defined at level Folder) : Supplier invoice: services
HEAAMTBPS (defined at level Company) : Supplier inv. header amt. ctrl
PURPRITYP (defined at level Site) : Supplier amount type
SUPINVDAT (defined at level Site) : Validity control for dates
TYPINVSUP (defined at level Company) : Supplier invoice type
WRNINVOICE (defined at level Site) : Invoice no. warning
WRNMSGBPS (defined at level Company) : Supplier invoice warning msg.
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
The following automatic journals are used in the posting processes associated with the function :
BPSIN : Facture fournisseur (tiers)
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 |
---|---|
TABPIVTYP [TPV] |
|
TABSIVTYP [TSV] |
|
GAUTACE [GAU] |
The general accounts, link accounts, natures and analytical dimensions must be defined, too.
If you want to comply with DGI (France), the CTLPERINV - Control period invoice date parameter must be set to: Yes.
In this case:
The following tables are implemented by the function :
Table |
Table description |
---|---|
ACCES [ACC] |
Access by user |
ATABDIV [ADI] |
|
AUTILIS [AUS] |
|
BID [BID] |
Bank ID statement |
BPADDRESS [BPA] |
Addresses |
BPARTNER [BPR] |
|
BPCUSTOMER [BPC] |
|
BPSINVLIG [PIL] |
Supplier invoice lines |
BPSINVLIGA [PIA] |
Supplier analytical line |
BPSUPPLIER [BPS] |
|
BPSUPPMVT [MVS] |
Supplier transactions |
CAAUZ [CAZ] |
|
CACCE [CCE] |
|
CADSP [DSP] |
|
COMPANY [CPY] |
|
CONTEXT [CNX] |
|
FACILITY [FCY] |
|
FISCALYEAR [FIY] |
|
FISCYEAR [FIS] |
Fiscal year |
GACCCODE [CAC] |
|
GACCDUDATE [DUD] |
Open items |
GACCOUNT [GAC] |
|
GAUTACE [GAU] |
|
GAUTACED [GAD] |
|
GAUTACEF [GAG] |
Automatic journal formulas |
GDIAACC [GDA] |
|
GTYPACCENT [GTE] |
|
PERIOD [PER] |
Periods |
PINVOICE [PIH] |
|
TABCOUNTRY [TCY] |
|
TABCUR [TCU] |
|
TABPIVTYP [TPV] |
|
TABUNIT [TUN] |
|
TABVACBPR [TVB] |
|
TABVAT [TVT] |