This page allows you to view the details of the selected receipt. You can view details pertaining to the voucher, instrument and credit card information and details of the debit documents that have been adjusted against the receipt. You can also view details of the receipt of the payment and the reasons based on which the receipt has been put on “Hold” or “Reversed”. The system also displays the details of the user who created or modified the receipts.
Select the “View Receipt” link provided in the “Select Receipt” page.
The “View Receipt” page appears.
The system displays the following in the “Voucher Information” group box:
Receipt # |
The number identifying the receipt. |
Receipt Category |
The category to which the receipt belongs. It could be “Regular”, “Deposits” or “Advance”. |
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Status |
The status of the receipt. It could be “All” “Draft”, “Fresh”, “Authorized”, “Partly Adjusted”, “Adjusted”, “Returned”, “Deleted” or “Held” |
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Receipt Date |
The date on which the receipt has been created. |
Finance Book |
The code identifying the finance book in which the receipt has been posted. |
The system displays the following in the “Receipt Information” group box:
Customer Code |
The code identifying the customer. |
Customer Name |
The name of the customer. |
Receipt Route |
The way in which the payment was received from the customer. It could be “Bank”, “Cash”, “PTT” or “Others”. |
Receipt Mode |
The mode in which the receipt was received from the customer. It could be “Check”, “Demand Draft”, “Pay Order”, “Direct Credit”, “Cash” or “Credit Card”. |
Adjustment |
The type of adjustment that was made with the payment received from the customer. It could be “Automatic” or “Manual”. |
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Currency |
The currency in which the payment has been received. |
Exchange Rate |
The number of units of the base currency with respect to the transaction currency if they are different. |
Receipt Amount |
The amount of the receipt. |
Bank / Cash Code |
The code identifying the bank / cash account in which the payment was deposited. |
Description |
The description of the bank / cash code. |
Collector Code |
The code identifying the employee or the name of the employee who collected the payment from the customer. |
Remitter |
The name of the person who has remitted the payment in the bank. |
Unapplied Amount |
The unadjusted receipt amount. |
Comments |
Any observation that have been recorded with respect to the payment received. |
Zoom facility available |
Enter the following fields in the “Tax Information” group box:
Amount Before Tax |
The receipt amount. |
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 |
The system displays the following in the “Instrument Information” group box:
Instrument # |
The number identifying the instrument through which the payment was made. |
MICR # |
Indicates the Magnetic Instrument Clearing Number available on the instrument. |
Instrument Amount |
The amount of the instrument. |
Instrument Date |
The date of the instrument. |
Bank # |
The code identifying the bank that has issued the instrument. |
Charges |
The charges incurred due to the instrument. This is calculated as the difference in the instrument amount and the receipt amount. |
Cost Center |
The number identifying the cost center to which the charges account has been mapped. |
Analysis # |
The analysis code to which the charges account is mapped to in the “Account Based Budgeting” business component. |
Sub Analysis # |
The sub analysis code to which the charges account is mapped to in the “Account Based Budgeting” business component. |
The system displays the following in the “Card Information” group box:
Card No |
A unique number identifying the credit card. |
Authorization No |
The number identifying the authorization. |
Issuer |
The name of the organization that has issued the credit card. |
Validity |
The month and year till which the credit card is valid. |
The system displays the following in the “Debit Document Information” multiline:
Debit Document Type |
The type of the debit document against which the payment has been received from the customer must be adjusted. |
Document No |
The number identifying the debit 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 amount that is outstanding for the document. |
Received Amount in Receipt Currency |
The amount to be adjusted against the debit documents. |
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 debit document was raised. |
The system displays the following in the “Hold / Reversal Information” group box:
Reversal Document No |
The number identifying the document that has been raised for the reversal of the receipt. |
Reversal Date |
The date on which the reversal document was created. |
Reason for Reversal |
The reason for which the document was reversed. |
Remarks for Reversal |
Any observations made regarding the reversal. |
Zoom facility available | |
Reason for Hold |
The reason for which the document was put on hold. |
Remarks for Hold |
Any observations made regarding the necessity to put the receipt on hold. |
Zoom facility available |
The system displays the following:
Created By |
The login ID of the user who has 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 “Accounting Information” link at the bottom of the page to view the accounting information details.