This page allows you to modify the details of a selected receipt that is in the “Draft”, “Fresh” or “Returned” status. Tell me more.
Select the “Edit Receipt” link provided in the “Select Receipt” page.
The “Edit Receipt” page appears.
The system displays the following in the “Voucher Information” group box:
Receipt No |
The number identifying the receipt. |
Receipt Category |
The category to which the receipt belongs. It could be “Regular”, “Deposits” and “Advance”. |
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Status |
The status of the receipt. It could be “Draft”, “Fresh” or “Returned”. |
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Modify the following fields if required in the “Voucher Information” group box:
Receipt Date |
The date on which the receipt has been created (Date Format). Mandatory. This date must not be later than the system date and must fall within an open financial year. |
Finance Book |
Use the drop-down list box to select the code identifying the finance book in which the posting is to be made. All the finance books that have been mapped in the login organization unit will be available for selection in the ascending order if postings can be made in multiple finance books. If postings can be made only in a finance book the book that has been set as default will be displayed. |
Note: If the finance book in which the receipt is to be posted has been inactivated you must reactivate the finance book or select a new finance book.
Modify the following fields if required in the “Receipt Information” group box:
Customer Code |
The code identifying the customer (Alphanumeric, 16). Mandatory. The customer code must have been defined in the “Create Customer” activity of the “Customer” business component. |
Press <Enter> key. |
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The system retrieves the name of the customer based on the code entered. |
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Help facility available |
The system displays the following:
Customer Name |
The name of the customer. |
Receipt Route |
The way in which the payment has been received from the customer. It could be “Bank”, “Cash” or “PTT”. |
Note: The route selected must be a valid one for the bank cash account.
Modify the following fields if required in the “Receipt Information” group box:
Receipt Mode |
Use the drop-down list box to select the mode in which the receipt was received from the customer. You can select from “Check”, “Demand Draft”, “Pay Order”, “Direct Credit”, “Cash” and “Credit Card”. |
Note: “Check”, “Demand Draft”, “Pay Order” or “Credit Card” can be selected if the “Receipt Route” has been selected as “Bank”. “Cash” can be selected if the “Receipt Route” has been selected as “Cash”.
Adjustment |
Use the drop-down list box to select the method of adjustment that is to be followed with the payment received from the customer. You can select from “Automatic” or “Manual”. |
Note: Based on the function default set for the “Adjustment Type” and the “Default Adjustment Type” in the “Set Function Defaults” activity, ”Automatic” and “Manual” will be available for selection.
“Automatic” must not be selected if “Receipt Category” has been selected as “Deposit” or “Advance”.
The currencies of the receipt and the debit document must be the same if you want to adjust them automatically.
Currency |
Use the drop-down list box to select the code identifying the currency in which the receipt has been received. All the currencies that have been mapped to the “Customer Receivable Accounts” in the “Create Customer Receivables Account Definition” activity of the “Account Rule Definition” business component will be available for selection in the ascending order. The base currency of the company will be displayed by default if it is one of the currencies mapped. |
Note: The currency selected in this field must be the same as the currency selected in the “Debit Document Currency” field if “Allow Cross Currency Receipts” has been set to “No” in the “Set Function Defaults” activity. However, the receipt currency and debit document currency can vary, if “Allow Cross Currency Receipts” is ‘Yes’.
Exchange Rate |
The number of units of the base currency with respect to the transaction currency if they are different (Decimal). Mandatory. The exchange rate must have been defined in the “Create Exchange Rate” activity of the “Exchange Rate” business component. The exchange rate must be greater than zero. If the receipt currency is the same as the base currency of the login organization unit the system displays “1”. |
Note: If you want to modify the retrieved exchange rate, the value must be within the tolerance limit set for it in the “Exchange Rate” business component.
Receipt Amount |
The amount of the receipt (Decimal). Mandatory. The amount must be greater than zero. |
Bank / Cash Code |
Use the drop-down list box to select the code identifying the bank and cash accounts. These codes must have been defined in the “Create Bank / Cash Details” activity of the “Bank Cash Definition” business component and must be in “Active” status. The bank / cash codes mapped to the login organizational unit will be available for selection in the alphabetical order. |
Note: If the parameter “Default 'Bank/Cash#' based on UPE in Customer Receipt” under the category ‘Customer Receipt’ in the “Set Finance Process Parameters” activity of the “OU Parameter Setup” is set as ‘Yes’, the system defaults the field based on the “Customer #” entered, “Pay Currency” defaulted and the frequency of the values with percentage greater than 90 %.The bank codes in 'Active' status will be available for selection in the order of frequency as computed by the UPE engine.
Note: The currency of the bank / cash code must be the same as the receipt currency or it could be in the base currency of the company.
The system displays the following:
Description |
The description of the bank / cash code. |
Modify the following fields if required in the “Receipt Information” group box:
Collector Code |
The code identifying the employee or the name of the employee who has collected the payment (Alphanumeric, 40). |
Remitter |
The name of the person who has remitted the payment (Alphanumeric, 60). |
Discounting Amount |
The discounting amount of the customer invoice, if the customer invoice is discounted with bank. Note: The discounting amount is the sum of discounting amounts of the multiline. |
Draft |
Check the box to save the receipt in the “Draft” status. |
Deletion Remarks |
Any comment pertaining to the deletion fo the receipt.. Data entry in this field is mandatory if Delete Receipt is clicked |
Note: You must not check the box to save the receipt in the “Draft” status if you want to authorize the receipt after modifying its details.
The system displays the following:
Unapplied Amount |
The unadjusted receipt amount. |
Note: This amount will be displayed only if the received amount is more than the amount to be adjusted.
Modify the following fields if required in the “Receipt Information” group box:
Comments |
Any observation to be recorded with respect to the payment received (Alphanumeric, 256). |
Enter the following fields in the “Tax Information” group box:
Default Tax Key |
Use the drop-down list box to select the default tax key. The system lists all the tax keys of nature “Withholding Tax” for Sales with tax incidence “On Receipt” that are in “Active” status and are “Percentage” based, Ensure the following:
By default the system leaves this field blank. |
Withholding Tax |
The amount of tax that is deducted at source by the Customer. |
The system displays the following field in the “Tax Information” group box:
Amount Net of Tax |
Receipt Amount - Withholding Tax |
Modify the following fields if required in the “Instrument Information” group box:
Note: The instrument information details can be left blank if the “Receipt Route” has been selected as “Cash” or the “Receipt Mode” is “Credit Card”.
Instrument No |
The number identifying the instrument (Alphanumeric, 30). |
Note: This field must not be left blank if the receipt route is “Bank” and the receipt mode is “Check”, “Demand Draft” or “Pay Order”.
MICR No |
Indicates the Magnetic Instrument Clearing Number available on the check, demand draft or pay order (Alphanumeric, 30). |
Instrument Amount |
The amount of the instrument (Decimal). This amount must be the same or greater than the receipt amount. |
Press <Enter> key. |
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The system calculates and displays the charges as the difference in the instrument amount and the receipt amount. |
Note: This field must not be left blank if the receipt route is “Bank” and the receipt mode is “Check”, “Demand Draft” or “Pay Order”.
Instrument Date |
The date of the instrument (Date Format). The date must be valid date in an open financial year. |
Note: This field must not be left blank if the receipt route is “Bank” and the receipt mode is “Check”, “Demand Draft” or “Pay Order”.
Bank Code |
The code identifying the bank that has issued the instrument (Alphanumeric, 32). |
Note: This field must not be left blank if the receipt route is “Bank” and the receipt mode is “Check”, “Demand Draft” or “Pay Order”.
The system displays the following:
Charges |
The charges incurred due to the instrument. This is calculated as follows: (Receipt Amount – Withholding Tax) – Instrument Amount |
Note: This field will be displayed if the receipt route is bank.
Modify the following fields if required in the “Instrument Information” group box:
Cost Center |
The number identifying the cost center to which the charges account is mapped (Alphanumeric, 10). This cost center must have been defined in the “Create Cost Center / Unit” activity of the “Cost Setup” business component. Smart search enabled. |
Help facility available |
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Analysis Code |
The analysis code to which the charges account is mapped to in the “Create Analysis” activity of the “Account Based Budgeting” business component (Alphanumeric, 5). Smart search enabled. |
Help facility available |
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Sub Analysis Code |
The sub analysis code to which the charges account is mapped to in the “Account Based Budgeting” business component (Alphanumeric, 5). Smart search enabled. |
Enter the following fields in the “Document Reference” group box to search for debit documents against which the adjustments can be made.
Note: This search facility allows you to add more debit documents to the list that has been created earlier.
Debit Document Type |
Use the drop-down list box to select the type of the debit document against which the payment received from the customer must be adjusted. You can select from “Order Invoice”, “Direct Invoice”, “Debit Note”, “Prepayment Invoice”, “Customer Payments”, “Transfer Debit Notes” or “Sale Order”. |
Note: The document type must be selected as “Sale Order” if the receipt category selected is “Advance” or “Deposit”
Debit Document Currency |
Use the drop-down list box to select the code identifying the currency in which the debit document has been raised. All the currencies that have been mapped to the company will be available for selection in the ascending order. |
Finance Book |
Use the drop-down list box to select the finance book for posting the debit document. All Active finance books that have been mapped to the login organization unit will be available for selection in addition to ‘All’. However, if the process parameter 'Allow Intercompany transactions in Customer Receipt' in the Set Finance Process Parameters activity of OU Parameter Setup is 1/Yes, the Finance Book drop-down list box displays
By default, this drop-down list box displays ‘All’. To retrieve debit documents pertaining to login OU as well as OUs of group companies, select ‘All’. To retrieve debit documents exclusively for a specific finance book, select the finance book from the drop-down list box. |
Document # |
The number identifying the debit document (Alphanumeric, 18). |
Customer Order #
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The number identiying the customer order for which you wish to view details of the the corresponding Invoices raised against it. Help facility available |
Part Sale Order #
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The number identiying the part sale order for which you wish to view details of the corresponding Invoices raised against it. Help facility available |
Note: This field must be left blank if the type of the debit document has been selected as “All” or “Blank”.
Click the “Get” pushbutton to retrieve the debit document details.
Note: If the debit document type has been selected as “Order Based Invoice”, “Direct Invoice” or “Debit Notes”, the system retrieves the documents in the “Posted” or the “Partially Paid” status. If “Prepayment Invoice” or “Payment Voucher” has been selected documents that are in the “Posted” status are retrieved and in the case of “Sale Orders” the system retrieves sale orders that are in the “Authorized” status. If “All” has been selected the system retrieves all the debit documents based on the status mentioned for the individual document types.
The system displays the following in the “Debit Document Information” multiline based on the search criteria entered:
Debit Document Type |
Indicates the type of the debit document. It could be “Order Invoice”, “Direct Invoice”, “Debit Note”, “Prepayment Invoice”, “Customer Payments”, “Transfer Debit Notes” or “Sale Order”. |
Document No |
The number identifying the document. |
Term No |
The number identifying the pay schedule. |
Due Date |
The date on which the payment is due. |
Currency |
The currency in which the payment is to be made. |
Document Amount |
The amount of the document. |
Outstanding Amount |
The outstanding amount after the adjustment of previous payments. |
Modify the following field if required in the “Debit Document Information” multiline:
Adjusted Amount in Receipt Currency |
The amount to be adjusted against the debit documents (Decimal). This amount must be entered for the selected debit documents. |
Note: The sum total of the values entered in this field must be less than or equal to the receipt amount.
Tax Key |
Use the drop-down list box to select the tax key. The system lists all the tax keys of nature “Withholding Tax” for Sales with tax incidence “On Receipt” that are in “Active” status and are “Percentage” based, Ensure the following: • The Tax Key selected in this field is active as on the Receipt Date. • The Tax key selected in this field is associated with the account code / TCD code mapped to Balance Sheet Account.. By default the system leaves this field blank. |
Note: You can provide Tax key information only if there is a Withholding Tax applicable on receipt.
WHT Amount |
The amount of tax deducted at source by the Customer against the debit document |
Discounting Amount |
The discounting amount of the customer invoice, if the customer invoice is discounted with bank. |
Net Receipt Amount |
Adjustment Amount in Receipt Currency - WHT Amount |
The system displays the following:
Exchange Rate |
The number of units of the base currency with respect to the transaction currency if they are different. |
Document Date |
The date on which the document was raised. |
Customer Order # |
The number identifying the customer order. Note that the custome rorder number in this field is applicable only for the document type, Service Invoice & Prepayment invoice |
Part Sale Order #
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The number identifying the part sale order Note that the part sale order number in this field is pplicable only for the document type, Direct invoice. |
Check the box in the “Select” column of the multiline to select the debit documents against which the adjustment must be made
Modify the following fields if required in the “Card Information” group box:
Note: The card information details can be left blank if the “Receipt Route” selected is “Cash” or if the “Receipt Mode” has not been selected as “Credit Card”.
The card information details must not be left blank if receipt mode has been selected as “Credit Card”
Card No |
A number identifying the credit card (Alphanumeric, 30). |
Authorization No |
The number identifying the authorization (Alphanumeric, 18). |
Issuer |
The name of the organization that has issued the credit card (Alphanumeric, 40). |
Valid Till
Month |
The month till which the credit card is valid (Integer). A valid month must be entered. |
Year |
The year till which the credit card is valid (Integer). The last two digits of a valid year must be entered. |
Click the “Edit Receipt” pushbutton to save the modifications made.
If the check box beside the “Draft” field is checked the status of the receipt is updated to “Draft”.
The receipt amount is debited in the corresponding bank / cash account taking into consideration the exchange rate if the currencies are different.
The Amount Net of Tax is debited in the corresponding customer control account or deposit account or prepayment account.
The difference in the amount Net of Tax and the instrument amount is saved in the corresponding charges account.
The WHT Amount / Withholding Tax Amount is accounted to the Customer account and TCD Account.
The login ID of the user and the system date is updated in the “Last Modified By” and “Last Modified Date” fields.
Click the “Edit and Authorize Receipt” pushbutton to modify and authorize the receipt.
The status of the receipt is updated to “Authorized”.
The system computes withholding tax amount after applying variant percentage on the Receipt Amount.
The receipt amount is debited in the corresponding bank / cash account taking into consideration the exchange rate if the currencies are different. (Receipt amount – WHT Amount – Discounting Amount) will be posted to bank/cash account.
The amount Net of Tax is debited in the corresponding customer control account or deposit account or prepayment account.
The difference in the amount Net of Tax and the instrument amount is posted in the corresponding charges account.
The Discounting Amount will be posted to account code mapped to a system-defined Usage ID ‘BILLDISCOUNTING’.
The system authorizes the receipt created in favor of a group company only if the account code is mapped to a system-defined Usage ID 'INTERCOMPFUNDS' in both the companies.
The login ID of the user and the system date are updated in the “Last Modified By” and “Last Modified Date” fields.
Click the “Delete Receipt” pushbutton to delete the receipt.
The status of the receipt is updated to “Deleted”.
The system stores the login ID of the user and the system date along with the modified details.
The system displays the following:
Created By |
The login ID of the user who created the receipt. |
Created Date |
The date on which the receipt was created. |
Last Modified By |
The login ID of the user who has last modified the receipt. |
Last Modified Date |
The date on which the receipt was last modified. |
To proceed, carry out the following
Select the “Adjust Receipt” link at the bottom of the page to adjust the receipt against a debit document.
Select the “Accounting Information” link at the bottom of the page to view the accounting information details of the receipt.
Select the “Upload Documents” link at the bottom of the page to upload documents or attach files for reference.
Select the “View Associated Doc. Attachments” link at the bottom of the page to view details of the documents attached for reference.
Modifying receipt details – An overview
You can modify details like the date on which the receipt was made and the code identifying the finance book in which the receipt details have to be posted. You can also modify the receipt information pertaining to the customer, the mode and method in which the payment was made. You can also modify the instrument information and credit card details if the payment has been received through a check, demand draft, pay order or credit card.
This page also allows you to carry out a search based on the type of the debit document, the currency of the document and the number identifying the document to retrieve debit documents against which the receipt payment can be adjusted. The newly selected debit documents can be added to the existing list of debit documents and the receipt amount adjusted accordingly.
You can authorize the modified receipt in this page. The status of the receipt after authorization is updated to “Authorized” and entries are posted in the selected books of account. The receipt can also be deleted in this page. The status of the receipt is updated as “Deleted” thereafter.
The system stores the login ID of the user and the system date along with the modified details of the receipt.
Select a new book in which the account postings can be made
Select different types of debit documents
Retrieve debit documents for adjustment
Save the receipt in the “Draft” status
Select a new book in which the account postings can be made
Receipts of the customer are posted in the finance books after authorization. If you want to change the finance book, you can do so if the “Allow Multiple Finance Book Postings” has been set to “Yes” in the “Set Function Defaults” activity of this business component.
Select a new book in the “Finance Book” field.
The user adjusts payments received from the customer automatically or manually. You can change the method to be followed for the adjustment, if the “Adjustment Type” has been set to “Both” in the “Set Function Defaults” activity of this business component.
Set the “Adjustment” field to “Automatic” to change the adjustment method from “Manual” to “Automatic”.
Set the “Adjustment” field to “Manual” to change the adjustment method from “Automatic” to “Manual”.
Select different types of debit documents
You can select different types of debit documents to be added to the existing list of documents against which the payment received must be adjusted.
Set the “Debit Document Type” field to “Order Invoice” to retrieve the order invoices raised on the customer.
Set the “Debit Document Type” field to ““Direct Invoice” to retrieve the direct invoices raised on the customer.
Set the “Debit Document Type” field to “Debit Note” to retrieve the debit notes raised on the customer.
Set the “Debit Document Type” field to “Prepayment Invoice” to retrieve the prepayment invoices raised on the customer.
Set the “Debit Document Type” field” to “Transfer Debit Notes” to retrieve the transfer debit notes raised on the customer.
Set the “Debit Document Type” field to “Sale Order” to retrieve the sale orders raised on the customer.
Retrieve debit documents for adjustment
You can retrieve debit documents and add it to the existing list against which the adjustments can be made.
Select the type of the debit document in the “Debit Document Type” field.
Select the currency in which the debit document has been raised in the “Debit Document Currency” field.
Enter the document number.
Click the “Get” pushbutton.
The system retrieves the debit documents based on the search criteria entered.
Save the receipt in the “Draft” status
If the receipt details are incomplete, you can save the receipt in the “Draft” status. This receipt can be retrieved later modified and authorized.
Check the box in the “Draft” field to save the receipt in the “Draft” status.